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FINANSIJSKA I AKTUARSKA MATEMATIKA


Semester:
ECTS: 6
Status: Obavezan
Lessons: 3+2+0
Double: Ne
ECTS catalogue
Learning outcomes:

After completing this course, the student will be able to: 1. Define simple and compound proportion, division of a given quantity, weighted arithmetic mean, and apply percentage calculations in solving business mathematics problems. 2. Define anticipative and degressive interest calculation methods, nominal, relative, and conforming interest rates, and apply these concepts in determining the prices of financial instruments on the money market. 3. Determine annuities and create repayment plans for consumer and investment loans. 4. Apply the principle of equivalence and methods of discounting and deferral in evaluating investment profitability, as well as in valuing long-term bonds, stocks, and derivatives. 5. Calculate the discount factor with a variable interest rate, apply it to periodic deposits and annuities, and compare it with discount factors in discrete and continuous cases with a constant interest rate. 6. Calculate the discount factor in an actuarial-technical sense, define biometric functions, and apply financial mathematics and probability in solving basic actuarial mathematics problems. 7. Describe types of life insurance and calculate net and gross premiums for each.

Teaching staff

Name Lectures Exercises Laboratory
MILAN RAIČEVIĆ2x1
37B+16S+76P
SAŠA VUJOŠEVIĆ1.5x1
74B+32S+152P
TANJA MIROTIĆ2x1
37B+16S+76P
VLADIMIR KAŠĆELAN1.5x1
74B+32S+152P
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