FIUBPFMP Finance and Insurance Mathematics

School of Business Administration in Karvina
Winter 2015
Extent and Intensity
1/2/0. 5 credit(s). Type of Completion: zk (examination).
Teacher(s)
doc. Ing. Iveta Palečková, Ph.D. (lecturer)
doc. Ing. Iveta Palečková, Ph.D. (seminar tutor)
Guaranteed by
doc. Ing. Iveta Palečková, Ph.D.
Department of Finance and Accounting – School of Business Administration in Karvina
Prerequisites
None
Course Enrolment Limitations
The course is offered to students of any study field.
Course objectives
The aim of this course is to familiarize students with mathematical applications in finance and insurance. The main operations are included in this course, namely operations related to the possibilities of using mathematics to simple and compound interest, savings, pension calculations, calculation of the present value of stocks and bonds, as well as the possibility of using mathematics in determining the amount of insurance in both life and non-life insurance, including the establishment of technical provisions. It is shown how financial and actuarial mathematics enters into interaction with mathematical economics, econometrics and mathematical and economic statistics.
Syllabus
  • 1. Basic concepts of financial and actuarial
    2. Simple interest
    3. Short-term securities
    4. Compound interest
    5. Interest rates
    6. Long-term securities
    7. Saving
    8. Pensions
    9. Models recurring payments
    10. Risk in financial mathematics
    11. Life insurance
    12. Non-life insurance
    13. Health and pension insurance
Literature
    required literature
  • RADOVÁ, J., DVOŘÁK, P., MÁLEK, J. Finanční matematika pro každého. Praha : GRADA Publishing, 2009. ISBN 978-80-247-3291-6. info
  • CIPRA, T. Praktický průvodce finanční a pojistnou matematikou. Praha: Ekopress, 2005. ISBN 80-86119-91-2. info
    recommended literature
  • CAPINSKI, M., ZASTAWNIAK, T. Mathematics for Finance: An Introduction to Financial Engineering. Berlin, 2010. ISBN 978-0857290816. info
  • CIPRA, T. Pojistná matematika: teorie a praxe. Praha: EKOPRESS, 2006. ISBN 80-86929-11-6. info
  • RADOVÁ, J., CHÝNA, V., MÁLEK, J. Finanční matematika v příkladech. Praha: Professional Publishing,, 2005. ISBN 80-86419-97-5. info
  • SEKERKA, B. Matematické a statistické metody ve financování, cenných papírech a pojištění. Praha: Profess consulting, 2002. ISBN 80-7259-031-5. info
    not specified
  • ŠLECHTOVÁ, J. Finanční a pojistná matematika. Karviná SU OPF, 2005. ISBN 80-7248-336-6. info
Language of instruction
Czech
Further comments (probably available only in Czech)
The course can also be completed outside the examination period.
Teacher's information
Attendance in seminars 25%, 2 ongoing test.
ActivityDifficulty [h]
Ostatní studijní zátěž66
Přednáška13
Seminář26
Zkouška40
Summary145

  • Enrolment Statistics (recent)
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