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Jacques Janssen

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Mathematical fianance
Semi-Markov risk models for finance, insurance and reliability
Applied semi-Markov processes
Semi-Markov models and applications
Advances in Stochastic Modelling and Data Analysis
Le big data pour les compagnies d’assurance
Modélisation stochastique du risque de pandémie stratégies de couverture et d'assurance
VaR Methodology for Non-Gaussian Finance
Big Data for Insurance Companies
Asset and Liability Management for Banks and Insurance Companies
Applied Semi-Markov Processes
Big Data for Insurance Companies
Advances in Stochastic Modelling and Data Analysis
Do Opposites Attract Divorce? Dimensions of Mixed Marriage and the Risk of Divorce in the Netherlands
Applied Diffusion Processes From Engineering To Finance

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