Equity Release Finance provides a self-contained introduction to the principles underpinning Equity Release Products (ERPs). The approach of the book, while academically robust, is also accessible and engaging, with a focus on practical examples and applications. It will provide an invaluable resource to a diverse audience, including Master’s degree and PhD students in finance, management science, actuarial science, and risk management. It will also be of service to academics and industry professionals.
Features
- A strong practical focus makes this an effective reference for industry professionals in the field of insurance, pensions, derivatives, and risk management
- Replete with pedagogical features, the book can be used to teach Master’s and/or PhD level graduate students
- The ideas presented in this book should be of interest to policy makers and regulators interested in developing a viable stable market, opening many avenues for further research in this area
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