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Mathematics of Finance and Insurance

Summary

The subject concerns fundamentals of mathematics of finance and insurance,
i.e. simple interest and discount and their application to short-term security analysis, compound interest, annuities, debt amortization, bond and stock analysis and life insurance theory and calculation.

Literature

LOVELOCK, D., M, MENDEL and A. L. WRIGHT. An Introduction to the Mathematics of Money: Saving and Investing. New York: Springer, 2010. 300 p. ISBN 978-1441922328.

Advised literature

GARRETT, S. J. An Introduction to the Mathematics of Finance: A Deterministik Approach. 2nd ed. Oxford: Butterworth-Heinemann, 2013. 464 p. ISBN 978-0080982403 .


Language of instruction čeština, čeština, čeština, čeština, čeština
Code 545-0396
Abbreviation FPM
Course title Mathematics of Finance and Insurance
Coordinating department Department of Economics and Control Systems
Course coordinator doc. Ing. Roman Kozel, Ph.D.