Course Content
STRUCTURE B - MIXED MODE
Semester 1
- Probability and Statistical Methods
- Research Methods for Business and Management
- Life Contingencies
- Actuarial Modelling
Semester 2
- Empirical Modelling for Actuary
- Insurance Business Practices
- Empirical Workshop
- Elective
Semester 3
- Research Thesis
- GD 401 Quantitative Equity Portfolio Management
- GD 506 Stochastic Process for Financial Economic
- GD 403 Asset Liability management
- GM 502 Marketing Management
- GM 524 Ethics and Corporate Social Responsibility
- GM 512 Business Policy and Strategic Management