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Data science and risk analytics in finance and insurance

By: Contributor(s): Material type: TextTextSeries: Chapman and Hall/CRC Financial Mathematics SeriesPublication details: CRC Press Boca Raton 2025Description: xiv, 449+ pISBN:
  • 9781439839485
Subject(s): DDC classification:
  • 332.0285 LAI
Summary: This book presents statistics and data science methods for risk analytics in quantitative finance and insurance. Part I covers the background, financial models, and data analytical methods for market risk, credit risk, and operational risk in financial instruments, as well as models of risk premium and insolvency in insurance contracts. Part II provides an overview of machine learning (including supervised, unsupervised, and reinforcement learning), Monte Carlo simulation, and sequential analysis techniques for risk analytics. In Part III, the book offers a non-technical introduction to four key areas in financial technology: artificial intelligence, blockchain, cloud computing, and big data analytics. Key Features: Provides a comprehensive and in-depth overview of data science methods for financial and insurance risks. Unravels bandits, Markov decision processes, reinforcement learning, and their interconnections. Promotes sequential surveillance and predictive analytics for abrupt changes in risk factors. Introduces the ABCDs of FinTech: Artificial intelligence, blockchain, cloud computing, and big data analytics. Includes supplements and exercises to facilitate deeper comprehension. (https://www.routledge.com/Data-Science-and-Risk-Analytics-in-Finance-and-Insurance/Lai-Xing/p/book/9781439839485?srsltid=AfmBOoqJsKMv656n8JKO9QrJhtKw9WGLr_YFDGsHU4CoWZjI4lLVDpA2)
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Holdings
Item type Current library Collection Call number Copy number Status Date due Barcode
Book Book Indian Institute of Management LRC General Stacks Finance & Accounting 332.0285 LAI (Browse shelf(Opens below)) 1 Available 008819

Table of Contents:

Preface

Part 1: Background and Basic Analytics

1. Risk management and regulation

2. Basic concepts and methods in risk management

3. Financial derivatives and their pricing theory

4. Insurance risk and credibility theory

Part 2: Advanced Data and Risk Analytics

5. Supervised and unsupervised learning

6. Bandit, Markov decision process and reinforcement learning

7. Monte Carlo methods and rare event analytics

8. Surveillance and predictive analytics

Part 3: Data and Risk Analytics in FinTech

9. FinTech ABCD and analytics

Bibliography

Index

This book presents statistics and data science methods for risk analytics in quantitative finance and insurance. Part I covers the background, financial models, and data analytical methods for market risk, credit risk, and operational risk in financial instruments, as well as models of risk premium and insolvency in insurance contracts. Part II provides an overview of machine learning (including supervised, unsupervised, and reinforcement learning), Monte Carlo simulation, and sequential analysis techniques for risk analytics. In Part III, the book offers a non-technical introduction to four key areas in financial technology: artificial intelligence, blockchain, cloud computing, and big data analytics.

Key Features:

Provides a comprehensive and in-depth overview of data science methods for financial and insurance risks.
Unravels bandits, Markov decision processes, reinforcement learning, and their interconnections.
Promotes sequential surveillance and predictive analytics for abrupt changes in risk factors.
Introduces the ABCDs of FinTech: Artificial intelligence, blockchain, cloud computing, and big data analytics.
Includes supplements and exercises to facilitate deeper comprehension.

(https://www.routledge.com/Data-Science-and-Risk-Analytics-in-Finance-and-Insurance/Lai-Xing/p/book/9781439839485?srsltid=AfmBOoqJsKMv656n8JKO9QrJhtKw9WGLr_YFDGsHU4CoWZjI4lLVDpA2)

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