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Taking decisions on uncertain or random financial markets



This analysis of data enables the building of actuarial and financial models which facilitate decision-making procedures.

 

Taking decisions on uncertain or random financial marketsThe proposal of the Institute of Mathematics encompasses an analysis of the strength of dependence and the degree of uncertainty of factors in actuarial and financial models, as an advanced tool for entities in the financial branch, including insurance operations. This service is dedicated to financial research companies.

 

MITIGATION AND RISK MEASUREMENT || OPTIMISATION OF RISK TRANSFER IN REINSURANCE || DETERMINATION OF INSURANCE CONTRIBUTIONS

 

Institute of Mathematics


Date of record:2019-06-19
Date of actualization:2019-07-02

Submitted by:
Filip Podgórski

FACULTIES