Practical guide to financial and insurance mathematics
The publication presents basic calculation principles in finance and insurance. Particular chapters gradually survey topics which are important in the actual financial and insurance practice.…
Specifikacia Practical guide to financial and insurance mathematics
The publication presents basic calculation principles in finance and insurance. Particular chapters gradually survey topics which are important in the actual financial and insurance practice. Theoretical description of financial and insurance methods and instruments including corresponding formulas are demonstrated by numerical examples which are typical for the given subjects and highlight actual applications (e.g. Mortgages, credit life insurance and others). The examples are numerically simple so that they can be realized using calculators with mathematical functions without applying any financial software (it predetermines the text as a suitable training material in contrast to computer oriented courses of finance). In addition to solved examples, each chapter contains a section of unsolved examples which enable to exercise the material of each chapter. The publication contains the financial tables useful for a quick evaluation of practical financial problems.Primarily the publication is proposed for university students of various English programs of quantitative economic analysis (QEA) or, particularly, programs of finance and actuarial sciences (or possibly for Czech students preferring "more international" approach to the finance and insurance with English terminology). The publication may be helpful also for people dealing professionally with problems of quantitative economy (in banks, insurance companies and pension funds, financial institutions, investment planning, treasury, govern-ment bodies and others) or simply are interested in financial or insurance products they meet in practical life. ***Publikace uvádĂ základnĂ vĂ˝poÄŤetnĂ principy ve financĂch a pojišťovnictvĂ. JednotlivĂ© kapitoly postupnÄ› popisujĂ tĂ©mata, která jsou dĹŻleĹľitá v modernĂ finanÄŤnĂ a pojistnĂ© praxi. TeoretickĂ˝ popis finanÄŤnĂch a pojistnĂ˝ch metod a nástrojĹŻ vÄŤetnÄ› odpovĂdajĂcĂch vzorcĹŻ se demonstrujĂ pomocĂ numerickĂ˝ch pĹ™ĂkladĹŻ, kterĂ© jsou typickĂ© pro danĂ© tĂ©ma, a zdĹŻrazĹ?ujĂ aktuálnĂ aplikace (napĹ™. hypotĂ©ky, ĹľivotnĂ ĂşvÄ›rovĂ© pojištÄ›nĂ aj.). PĹ™Ăklady jsou numericky jednoduchĂ©, takĹľe vypoÄŤty mohou bĂ˝t provedeny na kalkulátorech zvládajĂcĂch matematickĂ© funkce bez potĹ™eby finanÄŤnĂho softwaru (to zlepšuje vĂ˝poÄŤetnĂ dovednosti uĹľivatele na rozdĂl od softwarovÄ› orientovanĂ˝ch finanÄŤnĂch kurzĹŻ). KromÄ› pĹ™ĂkladĹŻ Ĺ™ešenĂ˝ch pĹ™Ămo v textu obsahuje kaĹľdá kapitola neĹ™ešenĂ© pĹ™Ăklady (s vĂ˝sledky v apendixu), coĹľ umoĹľĹ?uje dále procviÄŤovat obsah jednotlivĂ˝ch kapitol. Dále publikace obsahuje finanÄŤnĂ tabulky vhodnĂ© pro rychlĂ© Ĺ™ešenĂ praktickĂ˝ch finanÄŤnĂch problĂ©mĹŻ.Publikace je primárnÄ› urÄŤena pro vysokoškolskĂ© studenty rĹŻznĂ˝ch anglickĂ˝ch programĹŻ v oblasti kvantitativnĂ ekonomickĂ© analĂ˝zy (QEA) nebo explicitnÄ› v oblasti kvantitativnĂch financĂ a aktuárskĂ˝ch vÄ›d (pĹ™ĂpadnÄ› pro ÄŤeskĂ© studenty preferujĂcà „vĂce mezinárodnĂ“ pĹ™Ăstup k financĂm a pojišťovnictvĂ s anglickou terminologiĂ). Publikace však mĹŻĹľe bĂ˝t uĹľiteÄŤná takĂ© pro pracovnĂky, kteřà se kvantitativnĂ ekonomickou problematikou zabĂ˝vajĂ profesionálnÄ› (v bankách, pojišťovnách a penzijnĂch fondech, finanÄŤnĂch institucĂch, investiÄŤnĂm plánovánĂ, finanÄŤnĂ správÄ›, vládnĂch institucĂch apod.) nebo se jednoduše zajĂmajĂ o finanÄŤnĂ a pojistnĂ© produkty, kterĂ© jim jsou nabĂzeny. (Text publikace je v anglickĂ©m jazyce.)Dátum vydania: 10.12.2020Vydanie: 1.Väzba: broĹľovanáISBN: 978-80-8786-567-5Strán: 262