Visão Geral
Este curso apresenta os fundamentos da atuária, área responsável pela análise e gestão de riscos financeiros, especialmente em seguros, previdência e finanças. O participante terá uma visão introdutória sobre conceitos matemáticos, estatísticos e financeiros aplicados à avaliação de riscos, além de compreender o papel do atuário no mercado.
Conteúdo Programatico
Module 1: Introduction to Actuarial Science
- Definition and history of actuarial science
- Role of actuaries in the financial ecosystem
- Key industries: insurance, pensions, banking
- Overview of risk management concepts
Module 2: Fundamentals of Probability
- Basic probability concepts
- Random variables and distributions
- Expected value and variance
- Law of large numbers and central limit theorem
Module 3: Descriptive and Inferential Statistics
- Data analysis and visualization
- Measures of central tendency and dispersion
- Sampling techniques
- Confidence intervals and hypothesis testing
Module 4: Financial Mathematics Basics
- Time value of money
- Interest rates (simple and compound)
- Annuities and cash flow analysis
- Present value and future value calculations
Module 5: Risk Theory and Insurance Principles
- Types of risk (pure vs speculative)
- Risk pooling and diversification
- Principles of insurance
- Premium calculation basics
Module 6: Life Insurance and Pension Systems
- Life tables and mortality rates
- Life insurance products overview
- Pension plans and retirement systems
- Actuarial present value concepts
Module 7: Actuarial Models and Applications
- Introduction to actuarial modeling
- Basic loss models
- Survival models overview
- Practical case studies
Module 8: Regulation and Professional Ethics
- Regulatory environment overview
- Professional standards and ethics
- Role of actuarial associations
- Data privacy and compliance