Bachelor's program in Risk Management
*Learning Objectives*
By the end of the course, students will:
1. Classify risks (market, credit, operational, etc.) and their impacts.
2. Apply risk management frameworks to real-world scenarios.
3. Use quantitative tools (probability, statistics, VaR) for risk assessment.
4. Develop mitigation strategies (risk transfer, avoidance, insurance).
5. Analyse ethical dilemmas and crisis management in risk contexts.
*Required Materials*
- *Textbook: * Fundamentals of Risk Management (5th ed.) by Paul Hopkin.
- *Supplemental Readings: *
- Fraser, J. & Simkins, B. (2016). Enterprise Risk Management.
- Harvard Business Review case studies.
- ISO 31000 and COSO ERM guidelines.
- *Software: * Excel, R, or Python for data analysis.
*Assessment Breakdown*
| Component | Weight | Details |
|---------------------|--------|-------------------------------------------------------------------------|
| Participation | 10% | Active engagement in discussions and case analyses. |
| Bi-Weekly Quizzes | 10% | Short quizzes on readings and lectures. |
| Midterm Exam | 20% | Covers Weeks 1–6 (MCQs, short answers, case analysis). |
| Individual Case Study | 15% | 10-page analysis of a real-world risk scenario. |
| Group Project | 20% | Presentation + report on a risk management plan (4–5 students). |
| Final Exam | 25% | Cumulative exam (essays, calculations, case studies). |
*Weekly Schedule*
| Week | Topic | Key Activities |
|------|--------------------------------------------|------------------------------------------------|
| 1 | Introduction to Risk Management | Definitions, historical case studies. |
| 2 | Types of Risks | Market, credit, operational risks. |
| 3 | Risk Management Frameworks | ISO 31000, COSO ERM. |
| 4–5 | Risk Identification & Assessment Tools | SWOT, root cause analysis, risk matrices. |
| 6 | Quantitative Tools | Probability, VaR, Monte Carlo simulations. |
| 7 | *Midterm Exam* | |
| 8 | Risk Mitigation & Insurance | Case study: Supply chain disruption. |
| 9–11 | Sector-Specific Risks | Financial derivatives, operational resilience. |
| 12 | Crisis Management | Simulation exercises. |
| 13 | Ethics in Risk Management | Debate: Data privacy vs. risk transparency. |
| 14 | Group Project Presentations | Peer feedback and Q&A. |
| 15 | Final Exam Review | Comprehensive recap. |
*Course Policies*
- *Attendance: * Mandatory (≥80% required).
- *Late Work: * 10% penalty per day; no submissions after 5 days.
- *Academic Integrity: * Zero tolerance for plagiarism.
- *Accommodations: * Available via university disability services.
*Additional Resources*
- *Software Tutorials: * Excel (Data Analysis Toolpak), R/Python basics.
- *Online Tools: * COSO ERM toolkit, ISO 31000 guidelines.