序号 | 课程中文名称 | 课程英文名称 |
1 | 精算师的概率统计 | Probability and Statistics for Actuaries |
2 | 金融数学 | Financial Mathematics |
3 | 精算师金融和金融报告 | Finance and Financial Reporting for Actuaries |
4 | 商业经济学 | Business Economics |
5 | 退休金和退休金 | Superannuation and Retirement Benefits |
6 | 项目报告-精算研究 | Project Report - Actuarial Studies |
7 | 精算理论与实践A | Actuarial Theory and Practice A |
8 | 精算师的随机建模 | Stochastic Modelling for Actuaries |
9 | 精算统计 | Actuarial Statistics |
10 | 人寿保险和退休金 | Life Insurance and Superannuation |
11 | 保险风险模型 | Insurance Risk Models |
12 | 保险和养老金的金融经济学 | Financial Economics for Insurance and Superannuation |
13 | 精算理论与实践B | Actuarial Theory and Practice B |
14 | 风险管理模型 | Models for Risk Management |
15 | 风险与资本管理 | Risk and Capital Management |
16 | 资产负债管理 | Asset-Liability Management |
17 | 精算数据分析应用 | Actuarial Data Analytic Applications |
18 | 生命周期内的退休储蓄和支出 | Retirement Saving and Spending over the Lifecycle |
19 | 退休计划 | Retirement Planning |
20 | 风险与风险管理基础 | Fundamentals of Risk and Risk Management |
21 | 风险工具 | Risk Tools |
22 | 风险决策 | Risk Decisions |
23 | 风险管理战略 | Risk Management Strategies |
24 | 计量经济学分析 | Econometric Analysis |
25 | 金融经济学 | Economics of Finance |
26 | 金融计量经济学 | Financial Econometrics |
27 | 商务预测 | Business Forecasting |
28 | 投资和投资组合选择 | Investments and Portfolio Selection |
29 | 资本预算和金融决策 | Capital Budgeting and Financial Decisions |
30 | 应用组合管理和建模 | Applied Portfolio Management and Modelling |
31 | 金融机构管理 | Financial Institution Management |
32 | 衍生工具和风险管理技术 | Derivatives and Risk Management Techniques |
33 | 固定收益证券和利率衍生工具 | Fixed Income Securities and Interest Rate Derivatives |
34 | 商务分析简介 | Introduction to Business Analytics |
35 | 用于商务分析的信息技术基础架构 | Information Technology Infrastructure for Business Analytics |
36 | 商务分析方法 | Business Analytics Methods |
37 | 社交媒体和企业2.0 | Social Media and Enterprise 2.0 |
38 | 大数据世界中的营销分析 | Marketing Analytics in a Big Data World |
39 | 产品分析 | Product Analytics |
40 | 客户分析 | Customer Analytics |
41 | 广告分析 | Advertising Analytics |
42 | 金融计算方法 | Computational Methods for Finance |
43 | 应用回归分析 | Applied Regression Analysis |
44 | 连续时间金融建模 | Continuous Time Financial Modelling |
45 | 数据挖掘及其商务应用 | Data Mining and its Business Applications |
46 | 时间序列 | Time Series |
47 | 统计推断 | Statistical Inference |
48 | 生存分析 | Survival Analysis |
49 | 离散时间金融建模 | Discrete Time Financial Modelling |
50 | 随机分析导论 | Introduction to Stochastic Analysis |
51 | 期限结构建模 | Term Structure Modelling |
52 | 操作风险分析与管理 | Operational Risk Analysis and Management |