Equity Release Finance (Chapman and Hall/CRC Financial Mathematics Series)

Equity Release Finance (Chapman and Hall/CRC Financial Mathematics Series)

Equity Release Finance (Chapman and Hall/CRC Financial Mathematics Series)

by: Radu S. Tunaru (Author), Enoch B. Quaye (Author)

Edition: 1st

Publication Date: 2025-03-11

Language: English

Print Length: 296 pages

ISBN-10: 1032371978

ISBN-13: 9781032371979

Book Description

Equity Release Finance provides a self-contained introduction to the principles underpinning Equity Release Products (ERPs). The approach of the book, while academically robust, is also accessible and engaging, with a focus on practical examples and applications. It will provide an invaluable resource to a diverse audience, including Master’s degree and PhD students in finance, management science, actuarial science, and risk management. It will also be of service to academics and industry professionals.FeaturesA strong practical focus makes this an effective reference for industry professionals in the field of insurance, pensions, derivatives, and risk managementReplete with pedagogical features, the book can be used to teach Master’s and/or PhD level graduate studentsThe ideas presented in this book should be of interest to policy makers and regulators interested in developing a viable stable market, opening many avenues for further research in this area

Editorial Reviews

Equity Release Finance provides a self-contained introduction to the principles underpinning Equity Release Products (ERPs). The approach of the book, while academically robust, is also accessible and engaging, with a focus on practical examples and applications. It will provide an invaluable resource to a diverse audience, including Master’s degree and PhD students in finance, management science, actuarial science, and risk management. It will also be of service to academics and industry professionals.FeaturesA strong practical focus makes this an effective reference for industry professionals in the field of insurance, pensions, derivatives, and risk managementReplete with pedagogical features, the book can be used to teach Master’s and/or PhD level graduate studentsThe ideas presented in this book should be of interest to policy makers and regulators interested in developing a viable stable market, opening many avenues for further research in this area

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