Financial mathematics for actuaries
Material type:
- 9780000988645
- 332.0151 CHA
Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
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Indian Institute of Management LRC General Stacks | Finance & Accounting | 332.0151 CHA (Browse shelf(Opens below)) | 1 | Available | 007758 |
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332 ZIO Financial innovation and sustainability: green, blue and sustainable finance | 332 ZOP Quantitative financial risk management: theory and practice | 332.0028 MOH Financial analytics | 332.0151 CHA Financial mathematics for actuaries | 332.0151 DAV Quantitative finance: a simulation-based introduction using excel | 332.0151 JOS The concepts and practice of mathematical finance | 332.0151 TRE Introductory course on financial mathematics |
Financial Mathematics for Actuaries is a textbook for students in actuarial science, quantitative finance, financial engineering and quantitative risk management and is designed for a one-semester undergraduate course.
Covering the theories of interest rates, with applications to the evaluation of cash flows, the pricing of fixed income securities and the management of bonds, this textbook also contains numerous examples and exercises and extensive coverage of various Excel functions for financial calculation. Discussions are linked to real financial market data, such as historical term structure, and traded financial securities.
The topics discussed in this book are essential for actuarial science students. They are also useful for students in financial markets, investments and quantitative finance. Students preparing for examinations in financial mathematics with various professional actuarial bodies will also find this book useful for self-study.
In this second edition, the recent additions in the learning objectives of the Society of Actuaries Exam FM have been covered.
(https://www.worldscientific.com/worldscibooks/10.1142/10564#t=aboutBook)
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