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Globaalit riskit ja niiden hallintaLaajuus (5 op)

Tunnus: LX00DN05

Laajuus

5 op

Opetuskieli

  • englanti

Osaamistavoitteet

The course seeks to give students a broad insight at the macro analysis level of the substantial risk forces that shape our lives both now and into the future. It will cover the powerful nature of man-made financial markets and discover some of their inner workings and dynamics as well as exploring humanity's attempts to deal with the powerful environmental forces of mother nature in respect of their impact on business and society at large. We will view things from the stand point of uncertainty because where ever there is uncertainty there is risk.
By the end of the course, students will be able to:
• Understand the general foundations of Risk
• Learn to see Risk in terms of Pure and Speculative forms
• Appreciate the interrelatedness of global financial and Insurance markets and have a greater understanding of their impact on business and society.

Sisältö

• Risk in our Society
• Identifying Risk Trends
• Types of Pure and Speculative Risk Situations
• Risk Reduction v Risk Transfer
• Assessing the likely impact of Natural Disasters
• Financial and Insurance Market Dynamics
• The benefits and costs of Insurance to Society
• The changing scope of Risk Management
• Enterprise Risk Management

Esitietovaatimukset

First year basic business studies, English Language Proficiency

Arviointikriteerit, tyydyttävä (1)

This means that the student's performance is sufficient. The student shows just enough understanding of the subject to merit a pass grade but greater effort is required to achieve a more satisfactory result.

Arviointikriteerit, hyvä (3)

This means that the student's performance is sound. The student shows a strong understanding of the basic concepts and a good grasp of the techniques, but with certain minor problems still requiring attention.

Arviointikriteerit, kiitettävä (5)

This means that the student's performance is excellent. The student not only satisfies all standard requirements but demonstrates originality and imagination.

Ilmoittautumisaika

04.12.2023 - 07.01.2024

Ajoitus

15.01.2024 - 24.05.2024

Opintopistemäärä

5 op

Toteutustapa

Lähiopetus

Yksikkö

Liiketalous

Toimipiste

Leiritie 1

Opetuskielet
  • Englanti
Paikat

20 - 35

Koulutus
  • Degree Programme in International Business and Logistics.
  • Degree Programme in European Business Administration
Opettaja
  • Daryl Chapman
Vastuuopettaja

Suvi Moll

Ryhmät
  • LC21B_BA_F
    Incoming DD HWR Berlin, BA Finance
  • LB21L_M
    Incoming DD La Rochelle 3rd year students Marketing
  • LB22M
    Incoming DD Münster 2nd year students
  • LB21L_BI
    Incoming DD La Rochelle 3rd year students Business Intelligence
  • LC21R_F
    Incoming DD Rennes 3rd year students Finance
  • LITO_VV
    Vapaastivalittavat, liiketalous
  • LC21B_IB_F
    Incoming DD HWR Berlin, IBMAN Finance
  • LB21L_F
    Incoming DD La Rochelle 3rd year students Finance

Tavoitteet

The course seeks to give students a broad insight at the macro analysis level of the substantial risk forces that shape our lives both now and into the future. It will cover the powerful nature of man-made financial markets and discover some of their inner workings and dynamics as well as exploring humanity's attempts to deal with the powerful environmental forces of mother nature in respect of their impact on business and society at large. We will view things from the stand point of uncertainty because where ever there is uncertainty there is risk.
By the end of the course, students will be able to:
• Understand the general foundations of Risk
• Learn to see Risk in terms of Pure and Speculative forms
• Appreciate the interrelatedness of global financial and Insurance markets and have a greater understanding of their impact on business and society.

Sisältö

• Risk in our Society
• Identifying Risk Trends
• Types of Pure and Speculative Risk Situations
• Risk Reduction v Risk Transfer
• Assessing the likely impact of Natural Disasters
• Financial and Insurance Market Dynamics
• The benefits and costs of Insurance to Society
• The changing scope of Risk Management
• Enterprise Risk Management

Arviointiasteikko

0-5

Arviointikriteerit, tyydyttävä (1)

This means that the student's performance is sufficient. The student shows just enough understanding of the subject to merit a pass grade but greater effort is required to achieve a more satisfactory result.

Arviointikriteerit, hyvä (3)

This means that the student's performance is sound. The student shows a strong understanding of the basic concepts and a good grasp of the techniques, but with certain minor problems still requiring attention.

Arviointikriteerit, kiitettävä (5)

This means that the student's performance is excellent. The student not only satisfies all standard requirements but demonstrates originality and imagination.

Esitietovaatimukset

First year basic business studies, English Language Proficiency

Ilmoittautumisaika

07.12.2022 - 08.01.2023

Ajoitus

18.01.2023 - 10.05.2023

Opintopistemäärä

5 op

Toteutustapa

Lähiopetus

Yksikkö

Liiketalous

Toimipiste

Leiritie 1

Opetuskielet
  • Englanti
Paikat

20 - 35

Koulutus
  • Degree Programme in International Business and Logistics
  • Degree Programme in European Business Administration
Opettaja
  • Daryl Chapman
Vastuuopettaja

Suvi Moll

Ryhmät
  • LB20B_F
    Incoming DD Bilbao Finance
  • LITO_VV
    Vapaastivalittavat, liiketalous
  • LB21M
    Incoming DD Münster 2nd year students
  • LB20B_BA_M
    Incoming DD HTW Berlin BA Marketing
  • LC20B_IB_F
    Incoming DD HWR Berlin, IBMAN Finance

Tavoitteet

The course seeks to give students a broad insight at the macro analysis level of the substantial risk forces that shape our lives both now and into the future. It will cover the powerful nature of man-made financial markets and discover some of their inner workings and dynamics as well as exploring humanity's attempts to deal with the powerful environmental forces of mother nature in respect of their impact on business and society at large. We will view things from the stand point of uncertainty because where ever there is uncertainty there is risk.
By the end of the course, students will be able to:
• Understand the general foundations of Risk
• Learn to see Risk in terms of Pure and Speculative forms
• Appreciate the interrelatedness of global financial and Insurance markets and have a greater understanding of their impact on business and society.

Sisältö

• Risk in our Society
• Identifying Risk Trends
• Types of Pure and Speculative Risk Situations
• Risk Reduction v Risk Transfer
• Assessing the likely impact of Natural Disasters
• Financial and Insurance Market Dynamics
• The benefits and costs of Insurance to Society
• The changing scope of Risk Management
• Enterprise Risk Management

Arviointiasteikko

0-5

Arviointikriteerit, tyydyttävä (1)

This means that the student's performance is sufficient. The student shows just enough understanding of the subject to merit a pass grade but greater effort is required to achieve a more satisfactory result.

Arviointikriteerit, hyvä (3)

This means that the student's performance is sound. The student shows a strong understanding of the basic concepts and a good grasp of the techniques, but with certain minor problems still requiring attention.

Arviointikriteerit, kiitettävä (5)

This means that the student's performance is excellent. The student not only satisfies all standard requirements but demonstrates originality and imagination.

Esitietovaatimukset

First year basic business studies, English Language Proficiency

Ilmoittautumisaika

12.01.2022 - 13.01.2022

Ajoitus

17.01.2022 - 15.05.2022

Opintopistemäärä

5 op

Toteutustapa

Lähiopetus

Yksikkö

Liiketalous

Toimipiste

Leiritie 1

Opetuskielet
  • Englanti
Paikat

20 - 35

Koulutus
  • Degree Programme in International Business and Logistics
Opettaja
  • Daryl Chapman
Ryhmät
  • LB20M
    Incoming DD Münster 2nd year students
  • LB19B_F
    Incoming DD Bilbao Finance
  • LXC19_Finance
    LXC19_Finance
  • LC19B_IB_F
    Incoming DD HWR Berlin, IBMAN Finance

Tavoitteet

The course seeks to give students a broad insight at the macro analysis level of the substantial risk forces that shape our lives both now and into the future. It will cover the powerful nature of man-made financial markets and discover some of their inner workings and dynamics as well as exploring humanity's attempts to deal with the powerful environmental forces of mother nature in respect of their impact on business and society at large. We will view things from the stand point of uncertainty because where ever there is uncertainty there is risk.
By the end of the course, students will be able to:
• Understand the general foundations of Risk
• Learn to see Risk in terms of Pure and Speculative forms
• Appreciate the interrelatedness of global financial and Insurance markets and have a greater understanding of their impact on business and society.

Sisältö

• Risk in our Society
• Identifying Risk Trends
• Types of Pure and Speculative Risk Situations
• Risk Reduction v Risk Transfer
• Assessing the likely impact of Natural Disasters
• Financial and Insurance Market Dynamics
• The benefits and costs of Insurance to Society
• The changing scope of Risk Management
• Enterprise Risk Management

Arviointiasteikko

0-5

Arviointikriteerit, tyydyttävä (1)

This means that the student's performance is sufficient. The student shows just enough understanding of the subject to merit a pass grade but greater effort is required to achieve a more satisfactory result.

Arviointikriteerit, hyvä (3)

This means that the student's performance is sound. The student shows a strong understanding of the basic concepts and a good grasp of the techniques, but with certain minor problems still requiring attention.

Arviointikriteerit, kiitettävä (5)

This means that the student's performance is excellent. The student not only satisfies all standard requirements but demonstrates originality and imagination.

Esitietovaatimukset

First year basic business studies, English Language Proficiency