Pilihan program
| Tipe program | Durasi | Biaya kuliah | Tanggal Mulai | Tempat |
| Purna Waktu | 10 months | £ 21,312 per tahun Informasi lebih lanjut | 04-OCT-12 |
London School of Eco...
|
Ringkasan program
This programme provides high-level training in probability theory and statistics for random processes with applications in the areas of insurance and finance and their interface; it includes a comprehensive and unified approach to all quantitative aspects of modern actuarial science; students receive rigorous training in mathematics and scientific computation and are introduced to a range of schemes for risk transfer, sufficiently broad to equip them for highly specialised work in insurance, pensions, investment, and banking and for independent research in these areas.
Modul program
Compulsory modules: stochastic processes; insurance mathematics; stochastic finance; risk and stochastics project; options from: advanced topics in insurance and finance; time series; derivatives; financial risk analysis; quantitative methods for finance and risk analysis; algorithms and computation; continuous time optimisation; probability and measure.
London School of Economics and Political Science, University of London accepts IELTS*
* Please check with your chosen school for the exact entry requirements for your programme.
Kualifikasi
Magister (S2)
Institusi penerbit ijazah
University of London
Nama jurusan
Statistics
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Multidisciplinary Optimisation MSc
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Hotcourses berupaya memastikan kebenaran informasi mengenai rincian program namun semua informasi tersebut hanya bersifat indikatif dan dapat berubah sewaktu-waktu. Harap memeriksa kembali dengan London School of Economics and Political Science, University of London




