SubjectsSubjects(version: 945)
Course, academic year 2014/2015
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Probability and Statistics Applications at Secondary Schools - NUMV047
Title: Uplatnění pravděpodobnosti a statistiky na gymnáziích
Guaranteed by: Department of Probability and Mathematical Statistics (32-KPMS)
Faculty: Faculty of Mathematics and Physics
Actual: from 2014 to 2014
Semester: winter
E-Credits: 3
Hours per week, examination: winter s.:0/2, C [HT]
Capacity: unlimited
Min. number of students: unlimited
4EU+: no
Virtual mobility / capacity: no
State of the course: taught
Language: Czech
Teaching methods: full-time
Teaching methods: full-time
Guarantor: RNDr. Jitka Zichová, Dr.
prof. Ing. František Fabian, CSc.
Class: Učitelství matematiky
Classification: Mathematics > Mathematics, Algebra, Differential Equations, Potential Theory, Didactics of Mathematics, Discrete Mathematics, Math. Econ. and Econometrics, External Subjects, Financial and Insurance Math., Functional Analysis, Geometry, General Subjects, , Real and Complex Analysis, Mathematics General, Mathematical Modeling in Physics, Numerical Analysis, Optimization, Probability and Statistics, Topology and Category
Annotation -
Last update: RNDr. Jitka Zichová, Dr. (21.05.2021)
Seminar for future teachers of mathematics complementary to the lecture NMUM403. Probabilistic modeling comprehensible to students of secondary schools. Basics of financial mathematics.
Aim of the course -
Last update: RNDr. Jitka Zichová, Dr. (11.05.2017)

Foundations of statistical thinking and basic financial mathematics are explained to show to the students its significance.

Mathematical tools are demonstrated in the way which is applicable in some courses at

secondary schools. Many practical examples are solved.

Literature - Czech
Last update: RNDr. Jitka Zichová, Dr. (19.10.2015)

Pravděpodobnost:

Anděl, J.: Matematika náhody. Matfyzpress, Praha 2007.

Fabian, F., Kluiber, Z.: Fyzika a pravděpodobnost. ARSCI, Praha, 2005.

Fabian, F., Kluiber, Z.: Metoda Monte Carlo a možnosti jejího uplatnění. Prospektrum, Praha 1998.

Komenda, S., Klementa, J.: Analýza náhodného v pedagogickém experimentu a praxi.

SPN, Praha, 1981.

Rényi, A.: Teorie pravděpodobnosti. Academia, Praha, 1972.

Zvára, K., Štěpán, J.: Pravděpodobnost a matematická statistika. Matfyzpress, Praha 2002.

Finanční matematika:

Cipra, T.: Finanční matematika v praxi. HZ, Praha, 1993.

Cipra, T.: Matematika cenných papírů. HZ, Praha, 2000.

Cipra, T.: Finanční a pojistné vzorce. Grada, Praha, 2006.

Jelenová, K.: Sbírka úloh z finanční matematiky. Bc práce, MFF UK, 2009.

Radová J., Dvořák P.: Finanční matematika pro každého. Grada Praha, 1993 a další inovovaná vydání.

Teaching methods -
Last update: G_M (27.05.2008)

Seminar.

Syllabus -
Last update: RNDr. Jitka Zichová, Dr. (29.05.2019)

Elementary probability theory. Elementary financial mathematics.

 
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