Lecturer(s)
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Jindrová Pavla, Mgr. Ph.D.
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Course content
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Attributes of money, financial market, financial supply and demand. Time order, rate of interest. Bearing interest in the period of unit length. Simple and compound interest. Combination of simple and compound interest. Cash flow and its value. Importance of savings, models of savings. Short-term and long-term saving, combination of short-term and long-term saving. Conception of income, models of incomes. Models of immediate and deferred incomes. Credits and its attributes, schedule of payments, models of credit repayments.
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Learning activities and teaching methods
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Monologic (reading, lecture, briefing), Dialogic (discussion, interview, brainstorming), Work with text (with textbook, with book)
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Learning outcomes
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The aim of the course is to acquaint the students with basic terms and processes of the classical financial mathematics. The accent is put on the ability of students to use acquired knowledge in several practical and theoretical economic fields.
Student will able to use acquired knowledge in the applications of financial mathematics, i.e. how to select the suitable process or method in solving concrete situations and how to defend this solution.
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Prerequisites
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The students are supposed to have the knowledge of mathematics in a range common at the high school.
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Assessment methods and criteria
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Written examination, Student performance assessment
The course credit - is granted for the basis of active participation and write tests are passed successfully (for 65% at least).
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Recommended literature
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Cipra, Tomáš. Finanční a pojistné vzorce. Praha: Grada, 2006. ISBN 80-247-1633-X.
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Cipra, Tomáš. Praktický průvodce finanční a pojistnou matematikou. Praha: HZ Editio, 1995. ISBN 80-901918-0-0.
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Huťka, Vladimír. Finančná matematika v Exceli. Bratislava: Iura Edition, 2010. ISBN 978-80-8078-320-4.
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Macháček, Otakar. Finanční a pojistná matematika : úrok a úročení, modely opakovaných plateb, burzovní operace při složeném úročení, pojistné operace. Praha: Prospektrum, 2001. ISBN 80-7175-104-9.
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Parkinson, R. Financial Mathematics and Statistics. South Wirral: Checkmate Gold, 1989. ISBN 1-85313-037-0.
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Radová, Jarmila. Finanční matematika pro každého. Praha: Grada, 2013. ISBN 978-80-247-4831-3.
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Sekerka B. Matematické a statistické metody ve financování, cenných papírech a pojištění. Profess Consulting Praha, 2002.
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Sekerka, Bohuslav. Finanční a pojistná matematika. Pardubice: Univerzita Pardubice, 2005. ISBN 80-7194-810-1.
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Šulista, Marek. Introduction to financial and actuarial mathematics. České Budějovice: Jihočeská univerzita, 2006. ISBN 80-7040-919-3.
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