Financial and Insurance Mathematics – Field of study catalogue MU
Financial and Insurance Mathematics“Market trading is a mathematical game” |
This approach to the studies in this study programme provides students with basic skills and knowledge in various areas of mathematics, with the emphasis on applications of mathematical-statistical methods for banking and insurance. Besides mathematical courses, students take also selected courses at the Faculty of Economics and Administration. Theoretical courses are supplemented by practical courses enabling students to master modern methods of mathematical modelling in banking and insurance, data analysis, and their computer implementation.
The study programme aims mostly at students with a solid background in mathematics from grammar school who are interested in applying mathematics to solving practical problems, which are commonly encountered in financial and insurance sectors.
After successfully completing his/her studies the graduate is able to:
- apply logical, analytical, and abstract thinking when solving practical problems
- understand general theoretical principles of mathematical methods
- apply analytical and optimization methods to solving practical problems
- solve problems in banking and insurance and interpret results in practice
- implement methods on computer and work with data sets
- use modern mathematical tools for computations in problems of financial and insurance mathematics
Most students are expected to continue in their studies and enrol in the follow-up Master's degree programme of Financial Mathematics.
During the course of their studies students should follow the Course Catalogue for their year of matriculation. More informations can be found on the department website: http://www.math.muni.cz/pro-studenty/studium-obecne-informace.html
More information can be found on the department's website:
http://www.math.muni.cz/pro-studenty/studium-bakalarske-studium.html
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