Actuarium

Exams

Study guides, original practice questions with worked solutions, and past-paper strategy for every CAS, SOA and CPCU exam — each linked to the Library so you study the concept, not just the syllabus.

43 exams & requirements361 practice questionsKaTeX-rendered solutions

Casualty Actuarial Society — ACAS and FCAS for property & casualty.

Preliminary

Exam 1 Probability (P)

Preliminary

Exam P/1 tests calculus-based probability: set theory, conditional probability and Bayes, discrete and continuous univariate distributions, transformations, moment generating functions, and joint/conditional/marginal distributions. It is shared with the SOA and is the usual first exam.

30 multiple-choice3 hours300 study hrs9 MC · 2 written

Exam 2 Financial Mathematics (FM)

Preliminary

Exam FM/2 covers interest theory: accumulation functions, nominal and effective rates, annuities, loan amortization and sinking funds, bond pricing and amortization, yield curves and spot/forward rates, duration, convexity, and immunization. Derivatives were removed from the FM syllabus in 2022; the emphasis is now firmly on cash-flow valuation.

30 multiple-choice2.5 hours250 study hrs9 MC · 2 written

MAS-I Modern Actuarial Statistics I

Preliminary

MAS-I covers Poisson processes and Markov chains, survival and reliability, parametric estimation and hypothesis testing, GLMs with an actuarial lens, and ARIMA time-series basics. It is the first exam with an explicit modeling mindset.

45 multiple-choice4 hours350 study hrs9 MC · 2 written

MAS-II Modern Actuarial Statistics II

Preliminary

MAS-II is the credibility and modern-modeling exam: classical and Bayesian credibility, conjugate priors and MCMC diagnostics, penalized regression, tree ensembles, and linear mixed models as a generalization of Bühlmann–Straub.

45 multiple-choice4 hours350 study hrs9 MC · 2 written

Associateship (ACAS)

Fellowship (FCAS)

Non-exam requirement

Study-plan builder

Choose your exam, dates and weekly time blocks. The builder weights weeks by syllabus topic, reserves the final 15% for review and mock exams, and tracks every session you complete.

Pick your study days; block lengths are scaled to hit your weekly target.

Mon1.5h
Wed1.5h
Sat5h

Suggested timeline: 40 weeks at 8 h/week (≈450 recommended hours incl. 15% review)

TopicWeightHoursResourcesPractice
Corporate finance & valuation
  • Value a company or project using DCF, WACC, APV and multiples.
  • Evaluate capital structure choices and their effect on cost of capital and ratings.
  • Apply real-options thinking to strategic flexibility.
  • Assess M&A transactions: synergies, deal structure and value creation.
30%115 2 MC · 2 written
Strategy & decision analysis
  • Apply strategic frameworks (Porter, resource-based view, scenario planning) to insurers and financial firms.
  • Structure decisions with decision trees, expected value and value of information.
  • Incorporate risk appetite and stakeholder objectives into strategic recommendations.
  • Recognise behavioural biases in executive decision-making.
25%96 1 MC · 1 written
ERM in strategy: capital, risk appetite, performance
  • Link economic capital and risk appetite to strategic planning and product mix.
  • Evaluate risk-adjusted performance (RAROC, EVA) across business units.
  • Design stress and scenario tests that inform strategic choices.
  • Assess emerging and strategic risks and their governance.
25%96 1 MC · 1 written
Financial reporting, ratings & communication
  • Interpret insurer financial statements and key metrics for strategic analysis.
  • Explain rating-agency capital models and their influence on strategy.
  • Communicate technical recommendations to boards and investors.
  • Assess the strategic implications of accounting regime changes (IFRS 17, LDTI).
20%77 1 MC

12 weeks · 96 planned hours for SOA CFE SDM · recommended ≈450 hrs (354 short)

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