Mathematical and Statistical Methods for Actuarial Sciences and Finance

(Nora) #1

List of Contributors


Laura Ballester
Department of Economic Analysis
and Finance,
University of Castilla – La Mancha,
Cuenca, Spain


Diana Barro
Department of Applied Mathematics,
University Ca’ Foscari Venice,
Venice, Italy


Cristina Bencivenga
Department of Economic Theory
and Quantitative Methods for
Political Choices,
“La Sapienza” University of Rome,
Rome, Italy


Michele Leonardo Bianchi
Specialized Intermediaries
Supervision Department,
Bank of Italy,
Rome, Italy


Catalina Bolanc ́e
Department Econometrics,
RFA-IREA,
University of Barcelona,
Barcelona, Spain


Antonella Campana
Department SEGeS,
University of Molise,
Campobasso, Italy

Elio Canestrelli
Department of Applied Mathematics,
University Ca’ Foscari Venice,
Venice, Italy

Marta Cardin
Department of Applied Mathematics,
University Ca’ Foscari Venice,
Venice, Italy

Paola Cerchiello
Department of Statistics and Applied
Economics “L.Lenti”,
University of Pavia,
Pavia, Italy

Rosa Cocozza
Department of Business Administration,
University of Naples Federico II,
Naples, Italy

Marco Corazza
Department of Applied Mathematics,
University Ca’ Foscari Venice,
Venice, Italy
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