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Financial and Insurance Mathematics

Study programme at Faculty of Mathematics and Physics |
🇨🇿 NMgr.

Profiles

The graduate of study program Financial and Insurance Mathematics has a deep knowledge of basic mathematical disciplines and a special knowledge of probability and mathematical statistics, econometrics and stochastic processes, mathematical methods in finance, life and nonlife insurance, risk management, accounting (including accounting of insurance companies), machine learning and modeling using modern software tools. The graduate is capable to model financial and insurance products and perform their analysis from the point of view of risk, profit and other characteristics which are necessary for effective financial management.

The graduates of Financial and Insurance Mathematics have education which is necessary to obtain certificate of competence to execute the actuarial practice in the international context.