This volume aims to collect new ideas presented in the form of 4
page papers dedicated to mathematical and statistical methods in
actuarial sciences and finance. The cooperation between
mathematicians and statisticians working in insurance and finance
is a very fruitful field and provides interesting scientific
products in theoretical models and practical applications, as well
as in scientific discussion of problems of national and
international interest. This work reflects the results discussed at
the biennial conference on Mathematical and Statistical Methods for
Actuarial Sciences and Finance (MAF), born at the University of
Salerno in 2004.
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