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Introduction to actuarial and financial mathematical methods

Garrett, Stephen J.

Introduction to actuarial and financial mathematical methods - Amsterdam Academic Press 2015 - xii, 609 p. ill. 24 cm

Includes bibliographical references and index.

This self-contained module for independent study covers the subjects most often needed by non-mathematics graduates, such as fundamental calculus, linear algebra, probability, and basic numerical methods. The easily-understandable text of Introduction to Actuarial and Mathematical Methods features examples, motivations, and lots of practice from a large number of end-of-chapter questions.&​#xA0;For readers with diverse backgrounds entering programs of the Institute and Faculty of Actuaries, the Society of Actuaries, and the CFA Institute, Introduction to Actuarial and Mathematical Methods can provide a consistency of mathematical knowledge from the outset. Presents a self-study mathematics refresher course for the first two years of an actuarial programFeatures examples, motivations, and practice problems from a large number of end-of-chapter questions designed to promote independent thinking and the application of mathematical ideasPractitioner friendly rather than academicIdeal for self-study and as a reference source for readers with diverse backgrounds entering programs of the Institute and Faculty of Actuaries, the Society of Actuaries, and the CFA Institute.

9780128001561


Actuarial science
Insurance Statistical methods.
Finance Mathematical models.
Finance Statistical methods
Business mathematics
Business and Economics

332.015195 / GAR