Table of Contents Author Guidelines Submit a Manuscript
Journal of Probability and Statistics
Volume 2010, Article ID 392498, 3 pages
http://dx.doi.org/10.1155/2010/392498
Editorial

Actuarial and Financial Risks: Models, Statistical Inference, and Case Studies

1Department of Statistical and Actuarial Sciences, University of Western Ontario, London, ON, Canada N6A 3K7
2Department of Mathematics and Statistics, York University, Toronto, ON, Canada M3J 1P3
3Laboratory of Applied Mathematics, Mohamed Khider University, Biskra 07000, Algeria
4Department of Mathematics and Statistics, McGill University, Motreal, QC, Canada H3A 2K6
5Department of Mathematics and Statistics, King Fahd University of Petroleum and Minerals, Dhahran 31261, Saudi Arabia
6Department of Mathematics, Indiana University, Bloomington, Indiana 47405, USA

Received 10 June 2010; Accepted 10 June 2010

Copyright © 2010 Ričardas Zitikis et al. This is an open access article distributed under the Creative Commons Attribution License, which permits unrestricted use, distribution, and reproduction in any medium, provided the original work is properly cited.

How to Cite this Article

Ričardas Zitikis, Edward Furman, Abdelhakim Necir, Johanna Nešlehová, and Madan L. Puri, “Actuarial and Financial Risks: Models, Statistical Inference, and Case Studies,” Journal of Probability and Statistics, vol. 2010, Article ID 392498, 3 pages, 2010. https://doi.org/10.1155/2010/392498.