Finance Mathematics – Field of study catalogue MU
Finance Mathematics“From risk to certainty” |
The concept of studies is based on three pillars, which provide firm foundation for practical applications of mathematical models. The first pillar is devoted to mastering more advanced mathematical techniques of spectral and functional analysis and solving differential equations.
This is followed by mastering techniques of analysis of stochastic processes, and, consequently, the actual models of financial mathematics including their practical aspects. The programme also offers several courses oriented towards actuarial (insurance) mathematics.
The study programme of Financial Mathematics is run in cooperation with the Faculty of Economics and Administration, which guarantees the economically oriented courses taught within the programme. The programme aims mostly at students with analytical thinking and interest in practical applications of mathematics.
After successfully completing his/her studies the graduate is able to:
- apply appropriate mathematical models to analysis and prediction of financial time series and evolution of interest rates
- analyse and construct portfolios with desired properties
- master techniques for using and evaluating options and other financial derivatives, stressing their importance for hedging against market risks
- evaluate the risk of using investment tools
- master current software used in financial institutions
- use and combine appropriate programming techniques
In insurance companies they can mostly work as actuaries. In the bank sector, they can work, for instance, as analysts or specialists in controlling and in management positions.
1. Foundations of Mathematics (Probability Theory, Differential Equations, Functional Analysis, Spectral Analysis);
2. Stochastic Methods (Discrete Stochastic Processes, Wiener Process and Stochastic Integral, Stochastic Analysis, Analysis of Time Series); and
3. Mathematical Models in Finance (Portfolio Analysis, Discrete Models,
Continuous Models, Financial Derivatives, Game Theory, Interest Rates)
More information can be found on the department's website:
http://www.math.muni.cz/pro-studenty/studium-magisterske-studium.html
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