700.902 (17W) Risk Management

Wintersemester 2017/18

Anmeldefrist abgelaufen.

Erster Termin der LV
13.12.2017 12:00 - 14:00 , S.0.05
... keine weiteren Termine bekannt

Überblick

Lehrende/r
LV-Titel englisch
Risk Management
LV-Art
Vorlesung-Kurs (prüfungsimmanente LV )
Semesterstunde/n
1.0
ECTS-Anrechungspunkte
2.0
Anmeldungen
9 (40 max.)
Organisationseinheit
Unterrichtssprache
Englisch
mögliche Sprache/n der Leistungserbringung
Englisch
LV-Beginn
13.12.2017
eLearning
zum Moodle-Kurs

LV-Beschreibung

Intendierte Lernergebnisse

This course will examine the way in which business and society make an assessment of, control and transfer risk. Students will be prepared to develop an awareness of challenges, the tools, and the process of designing and implementing a risk management program. Selected approaches to quantify, manage and control risks will be discussed in detail. 

Intended learning objectives: Students...

  • are familiar with the risk management terminology
  • know the fundamentals of decision-making under risk
  • have knowledge on the structure of the risk management process (and its organizational context & the legal frameworks)
  • have knowledge on the activities and selected methodologies during the different phases of the risk management process
  • have knowledge on relevant clusters of risks
  • have advanced knowledge on selected topics of risk management (presentations)
  • are aware of the psychology of risk management
  • know practical applications of risk management (through case-studies)

Lehrmethodik

Presentations, case studies, discussions

Inhalt/e

  • Risk management fundamentals
    • Introduction to risk management
    • Risk management in practice
  • Selected topics of advanced risk management
  • Risk management in practice (case study)

Erwartete Vorkenntnisse

-

Literatur

Ben-Daya, M. (2009). Failure mode and effect analysis. In Handbook of maintenance management and engineering (pp. 75-90). Springer

London.Chartered Institute of Management Accountants (2004). Enterprise Governance. CIMA, London, United Kingdom.

Collier, P.M. (2009). Fundamentals of risk management for accountants and managers. Tools and techniques. Butterworth-Heinemann/Elsevier, Burlington, USA.

COSO (2004). Enterprise risk-management. Integrated framework. Committee of Sponsoring Organizations of the Treadway Commission, United States.

Eisenführ, F., Weber, M. (2003). Rationales Entscheiden, 4th edition, Springer, Berlin, Germany. 

Geiersbach, K. (2011). Praxisorientierte Gestaltung und Prüfung des Risikomanagements, Der Beitrag der Internen Revision zur Corporate Governance. Gabler. 347-395. 

Gleißner, W. (2011). Grundlagen des Risikomanagements in Unternehmen. 2. Auflage, Vahlen, München, Deutschland.

Gleißner, W./Romeike, F. (2005). Risikomanagement - Umsetzung, Werkzeuge, Risikobewertung, Haufe-Lexxware, Freiburg, Deutschland.

Institut für interne Revision Austria (2015). Das unternehmensweite Risikomanagementsystem aus der Sicht der internen Revision, 2nd edition, Linde Verlag, Vienna, Austria. 

Institute of Risk Management (2002). A risk management standard, URL: https://www.theirm.org/media/886059/ARMS_2002_IRM.pdf 

International Federation of Accountants (1999). Enhancing Shareholder Wealth by Better Managing Business Risk, Price-Waterhouse-Coopers, New York, USA. 

Klipper, S. (2015). Information security risk management, 2nd edition, Springer-Vieweg, Wiesbaden, Germany. 

Link auf weitere Informationen

www.aau.at/csu

Prüfungsinformationen

Prüfungsmethode/n

presentations, written exam

Prüfungsinhalt/e

the topics discussed in the course

Beurteilungskriterien/-maßstäbe

  • Attendance (75% at least: )mandatory
  • Active participation (oral, feedback): 20%
  • Presentation: 30%
  • In-class assignments (case studies): 30%
  • Final written exam: 20%  
  • Positive assessment of all parts in order to pass the class

Beurteilungsschema

Note/Grade Benotungsschema

Position im Curriculum

  • Masterstudium Information and Communications Engineering (ICE) (SKZ: 488, Version: 15W.1)
    • Fach: Management and Economics: Advanced (WI) (Wahlfach)
      • Controlling und strategische Unternehmensführung ( 0.0h VK, VO, KU / 10.0 ECTS)
        • 700.902 Risk Management (1.0h VC / 2.0 ECTS)

Gleichwertige Lehrveranstaltungen im Sinne der Prüfungsantrittszählung

Wintersemester 2019/20
  • 700.902 VC Risk Management (1.0h / 2.0ECTS)
Wintersemester 2018/19
  • 700.902 VC Risk Management (1.0h / 2.0ECTS)
Wintersemester 2016/17
  • 700.902 VC Risk Management (1.0h / 2.0ECTS)