Course: Investment Mathematics

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Course title Investment Mathematics
Course code UMKM/PINV
Organizational form of instruction Lecture + Lesson
Level of course Bachelor
Year of study not specified
Semester Summer
Number of ECTS credits 4
Language of instruction Czech
Status of course Compulsory
Form of instruction Face-to-face
Work placements This is not an internship
Recommended optional programme components None
Lecturer(s)
  • Sekerka Bohuslav, prof. RNDr. CSc.
  • Jindrová Pavla, Mgr. Ph.D.
  • Gogola Ján, RNDr. Ph.D.
Course content
unspecified

Learning activities and teaching methods
Monologic (reading, lecture, briefing), Work with text (with textbook, with book), Methods of individual activities, Skills training
Learning outcomes
The course provides information on investment opportunities and mathematical calculations in relations of decision in investment and management of investment risks.
Students will be able to apply obtained skills in solving in the investment and management of investment risks.
Prerequisites
Supposes knowledge financial mathematics to the extent of bachelor degree.

Assessment methods and criteria
Written examination, Home assignment evaluation, Didactic test

Assignment - active participation in seminars and elaboration of engaged tasks. Passing written test.
Recommended literature
  • CIPRA, T. Finanční a pojistné vzorce. Praha: GRADA Publishing, 2006.
  • SEKERKA, B., JINDROVÁ, P. Finanční a pojistná matematika.. Pardubice: Univerzita Pardubice, 2005.
  • SEKERKA, B. Matematické a statistické metody ve financování, cenných papírech a pojištění.. Praha: Profess Consulting, 2002.
  • STEIGAUF, S. Investiční matematika. Praha: GRADA Publishing, 1999.


Study plans that include the course
Faculty Study plan (Version) Branch of study Category Recommended year of study Recommended semester
Faculty of Economics and Administration Management of Financial Risks (2015) Economy 2 Summer
Faculty of Economics and Administration Management of Financial Risks (2014) Economy 2 Summer
Faculty of Economics and Administration Management of Financial Risks (2013) Economy 2 Summer