9054 results in Finance and accountancy
Presentation of an Institute President's Award to Mr Howard J. Bolnick
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- British Actuarial Journal / Volume 6 / Issue 4 / 01 December 2000
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- 10 June 2011, pp. 639-640
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The Faculty of Actuaries - General Information, 1995–1996
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- British Actuarial Journal / Volume 2 / Issue 4 / 01 October 1996
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- 10 June 2011, pp. 1047-1055
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The Methodology of Actuarial Science
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- British Actuarial Journal / Volume 5 / Issue 1 / 01 April 1999
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- 10 June 2011, pp. 115-195
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Worldwide Asset and Liability Modeling. Edited by William T. Ziemba and John M. Mulvey (Cambridge University Press, 1998)
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- British Actuarial Journal / Volume 6 / Issue 2 / 01 August 2000
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- 10 June 2011, pp. 433-434
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An Actuarial Survey of Statistical Models for Decrement and Transition Data, II. Competing Risks, Non-Parametric and Regression Models
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- British Actuarial Journal / Volume 2 / Issue 2 / 01 June 1996
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- 10 June 2011, pp. 429-448
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A Stochastic Model Underlying the Chain-Ladder Technique
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- British Actuarial Journal / Volume 4 / Issue 4 / 01 October 1998
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- 10 June 2011, pp. 903-923
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Articles, Papers and Publications of Actuarial Interest
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- British Actuarial Journal / Volume 2 / Issue 4 / 01 October 1996
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- 10 June 2011, pp. 1033-1034
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The Investment Return from a Portfolio with a Dynamic Rebalancing Policy
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- British Actuarial Journal / Volume 2 / Issue 4 / 01 October 1996
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- 10 June 2011, pp. 975-1001
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Vision and Values: Papers for a Discussion of the Vision and Values of the United Kingdom Actuarial Profession
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- British Actuarial Journal / Volume 5 / Issue 3 / 01 August 1999
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- 10 June 2011, pp. 467-528
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Pension Fund Asset Valuation and Investment
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- British Actuarial Journal / Volume 1 / Issue 3 / 01 August 1995
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- 10 June 2011, pp. 471-557
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Papers from Actuarial Journals Worldwide
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- British Actuarial Journal / Volume 7 / Issue 3 / 01 August 2001
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- 10 June 2011, pp. 509-511
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Lease Terms, Option Pricing and the Financial Characteristics of Property
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- British Actuarial Journal / Volume 9 / Issue 3 / 01 August 2003
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- 10 June 2011, pp. 619-635
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Maturity Guarantees Revisited: Allowing for Extreme Stochastic Fluctuations using Stable Distributions
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- British Actuarial Journal / Volume 3 / Issue 2 / 01 June 1997
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- 10 June 2011, pp. 411-482
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Simulating the Relative Solvency of Life Insurers
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- British Actuarial Journal / Volume 2 / Issue 4 / 01 October 1996
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- 10 June 2011, pp. 1003-1019
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Financial Condition Assessment. Abstract of the Discussion
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- British Actuarial Journal / Volume 7 / Issue 4 / 01 October 2001
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- 10 June 2011, pp. 585-603
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Realistic Liabilities and Risk Capital Margins for With-Profits Business/The Realistic Reporting of With-Profits Business. Abstract of the Discussion
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- British Actuarial Journal / Volume 10 / Issue 2 / 01 June 2004
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- 10 June 2011, pp. 294-316
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Estimation in the Constant Elasticity of Variance Model
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- British Actuarial Journal / Volume 7 / Issue 2 / 01 June 2001
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- 10 June 2011, pp. 275-292
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Modelling Extremal Events. By P. Embrechts, C. Kluppelberg and T. Mikosch (Springer-Verlag, 1997)
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- British Actuarial Journal / Volume 5 / Issue 2 / 01 June 1999
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- 10 June 2011, p. 465
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Correspondence
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- British Actuarial Journal / Volume 6 / Issue 1 / 01 June 2000
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- 10 June 2011, pp. 251-255
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Papers Presented to the Staple Inn Actuarial Society, to the Faculty of Actuaries Students' Society and to Regional Actuarial Societies: 1994–95
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- British Actuarial Journal / Volume 1 / Issue 5 / 01 December 1995
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- 10 June 2011, p. 991
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