Программа обучения Actuarial and Financial Mathematics

Программа обучения "Actuarial and Financial Mathematics" в Universität des Saarlandes

Versicherungs- und Finanzmathematik

The insurance, banking and consulting sector is the largest field of activity for mathematicians alongside the IT industry. The “Actuarial and Financial Mathematics” course prepares you for a job in this area. In addition to the mathematical basics, it teaches instruments of applied mathematics (especially in the area of stochastics), knowledge of insurance and financial mathematics and basic economic knowledge as well as (optional) techniques of data science. In particular, the mathematical learning objectives (basic knowledge) of the actuarial training (DAV) are taught across several modules in the bachelor's and master's degree programs.

Общая Информация по Программе обучения "Actuarial and Financial Mathematics"

  • Уровень: Бакалавриат
  • Диплом: Bachelor of Science (B.Sc.)
  • Язык обучения: Немецкий
  • Начало обучения: Зимний семестр
    Летний семестр
  • Срок обучения: 6 семестров
  • Форма обучения: ПолнаяЧастичная
  • Учебные кредиты: 180 ECTS
  • Стоимость: € 0 / Семестр
  • Семестровый взнос: € 296.00 / семестр
  • Правила приема: Без конкурса
  • Минимальный уровень немецкого: C1

Описание программы обучения "Actuarial and Financial Mathematics"

The probabilistic and statistical methods in insurance and financial mathematics are closely linked to economic aspects and concepts and in many cases can only be implemented through the use of computer-aided numerical methods. The interdisciplinarity of the study of actuarial and financial mathematics is therefore of an intrinsic nature.

During their bachelor's degree, students acquire comprehensive basic knowledge of mathematics and economics and can confidently use advanced stochastics instruments. You will gain a broad overview of actuarial and financial mathematics issues, have in-depth knowledge of at least one of the areas of actuarial mathematics or financial mathematics and be able to use relevant mathematical methods competently in an actuarial or financial mathematical professional environment.

In the Bachelor's degree program in Actuarial and Financial Mathematics, the standard period of study until completion of the Bachelor's examination is six semesters in full-time study. Upon request, parts of the course can be studied part-time. Before starting your career, the knowledge from the bachelor's degree is usually supplemented by the knowledge from the master's degree of the same name, which will be offered from winter semester 2023/24.

Учебный план программы обучения "Actuarial and Financial Mathematics"

During the course of the bachelor's degree, 180 credit points are acquired in the following areas: mathematical fundamentals, instruments of actuarial and financial mathematics, instruments of stochastics, computer-oriented methods, economics environment, seminars and thesis as well as free points. In the first year of study, in addition to important basics in analysis and linear algebra, elements of actuarial and financial mathematics as well as basics from the business sector are taught. The further course of the course also depends on the student's focus. In the course documents (see below) you will find two example study plans. The course consists of compulsory, elective and elective courses as well as a “free points” area.

The compulsory area includes the events:

  • Analysis I-III, Linear Algebra I+II (mathematical basics 45 CP)
  • Elements of insurance and financial mathematics (3 CP)
  • Stochastics I+II (18 CP)
  • Introduction to Numerics (9 CP)
  • Accounting and corporate accounting (6 CP)
  • Proseminar mathematics (5 CP)
  • Bachelor's thesis and seminar (18 CP)

The elective area offers the following alternatives:

  • Mathematical Finance or Insurance Mathematics (9 CP)
  • Elements of Programming (6CP) or Programming I (9 CP)
  • Investment or business financing (6 CP)
  • Further lectures in economics (18 CP)
  • Mathematics core lecture (9 CP)

In the elective area, courses worth 12 to 15 CP can be added:

  • Lectures in mathematics (max. 9 CP)
  • Lectures in economics (max. 6 CP)
  • Lectures in computer science

In the “Free Points” area, 10 to 16 CP can be earned in:

  • Lectures in economics (max. 6 CP)
  • Lectures in computer science
  • Seminar in Mathematics (7 CP)
  • Professional internship (max. 10 CP), tutoring (max. 4 CP), language course (max. 6 CP), soft skills seminar (max. 3 CP)
  • Учебный план / модули: https://www.uni-saarland.de/fileadmin/upload/studium/angebot/mhb_ba/MHB2022/MHB_Vers_Finanz.pdf
    https://www.uni-saarland.de/fileadmin/upload/studium/angebot/lehramt/Studplan/2020_2021_2022/Studp_VersFinanz_mitInfo.pdf
    https://www.uni-saarland.de/fileadmin/upload/studium/angebot/lehramt/Studplan/2020_2021_2022/Studplan_BA_VersFinanz_ohneInfo.pdf
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