Pravděpodobnostní modely kolektivního rizika

2020 
The aim of the diploma thesis is to theoretically describe and apply basic, accurate, approxima-te and simulation methods of probabilistic modeling of collective risk to real data. The theore-tical part contains important definitions of models and basic characteristics of collective risk and simulation using the Monte Carlo method. The practical part presents theoretically de-scribed models on real data. The input data are processed in the statistical program STAT-GRAPHICS Centurion XVII and subsequent calculations are performed in the MS Excel spreadsheet.
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