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Insurance II.

Summary

The aim of the subject is to teach students the complex problematic of commercial insurance management. Main blocks of lectures are focused on: risk and insurance management, insurance economics and management, risk transfer. Exercise lectures are focused on practical analysis of insurance products.

Literature

DORFMAN, M. S., CATHER, D. Introduction to risk management and insurance. 10th ed. Harlow: Pearson Prentice Hall, 2012. 496 p. ISBN 0-13-144958-3.
OLIVIERI, A., PITACCO, E. Introduction to insurance mathematics: technical and financial features of risk transfers. 2nd ed. Berlin: Springer, 2015. 526 p. ISBN 978-3-319-21376-7.
WÜTHRICH, M.V., MERZ, M. Stochastic Claims Reserving Methods in Insurance. Chichester: Wiley, 2008. 424 p. ISBN 978-0-470-77272-0 .

Doporučená literatura

DICKSON, D. C. M. Insurance Risk and Ruin. 2nd ed. Cambridge: Cambridge University Press, 2017. 294 p. ISBN 978-1-107-15460-5.
SANDSTRÖM, A. Handbook of solvency for actuaries and risk managers: theory and practice. Boca Raton: CRC Press, 2011. 1055 p. ISBN 978-1-4398-2130-5.
WÜTHRICH, M. V., MERZ, M. Financial modeling, actuarial valuation and solvency in insurance. Berlin: Springer, 2013. 432 p. ISBN 978-3-642-31391-2.


Language of instruction angličtina, angličtina, angličtina
Code 154-0520
Abbreviation INS II.
Course title Insurance II.
Coordinating department Department of Finance
Course coordinator prof. Ing. Tomáš Tichý, Ph.D.