Mathematics in Finance and Insurance - NFAP002
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Survey of modern methods of financial and insurance calculations applied
in financial and insurance practice: interest rates, annuities, investment
strategies, securities (bonds, stocks, financial derivatives), financial risk,
portfolio theory, security indices, speculations on a stock exchange, basic
calculations in life and nonlife insurance, pension funds, social and health
insurance (the course runs simultaneously for students of the School of
Economics, Prague).
Last update: G_M (10.10.2001)
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Cipra T.: Finanční matematika v praxi. HZ Praha 1993
Cipra T.: Pojistná matematika v praxi. HZ Praha 1994
Cipra T.: Praktický průvodce finanční a pojistnou matematikou. HZ Praha 1995
Cipra T.: Pojistná matematika: teorie a praxe. Ekopress Praha 1999
Cipra T.: Matematika cenných papírů. HZ Praha 2000. Last update: Zakouřil Pavel, RNDr., Ph.D. (05.08.2002)
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See FAP004. Last update: T_KPMS (15.05.2003)
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