Risk Management (ΣΕΕ16)

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General

School School of Science
Academic Unit Department of Mathematics
Level of Studies Graduate
Course Code ΣΣΕ16
Semester 1
Course Title Risk Management
Independent Teaching Activities Lectures (Weekly Teaching Hours: 3, Credits: 7.5)
Course Type Specialized general knowledge
Prerequisite Courses -
Language of Instruction and Examinations Greek
Is the Course Offered to Erasmus Students Yes (in English)
Course Website (URL) See eCourse, the Learning Management System maintained by the University of Ioannina.

Learning Outcomes

Learning outcomes

By the end of the course, successful students will be able to:

  • have a broader view on risk analysis and management
  • acquire state-of-the-art quantitative techniques for modelling risk factors and managing risk
  • use common risk models, as well as develop customized versions for different risk management problems.
General Competences
  • Working independently
  • Decision-making
  • Adapting to new situations
  • Production of free, creative and inductive thinking
  • Synthesis of data and information, with the use of the necessary technology
  • Project planning and management

Syllabus

  • Structure of uncertainty and risk - Bayesian method, portfolio risk
  • Measuring risk: Value at risk and conditional value at risk, generic risk measures, coherent risk measures, application of the risk measures to simple problems.
  • Decision analysis: utility theory, stochastic dominance models, St. Petersburg paradox, Allais paradox
  • Stochastic modelling and applications: portfolio optimization, production planning, robust approaches for stochastic optimization

Teaching and Learning Methods - Evaluation

Delivery Face-to-face
Use of Information and Communications Technology -
Teaching Methods
Activity Semester Workload
Lectures 39
Independent study 70
Study and analysis of bibliography, Fieldwork 78.5
Course total 187.5
Student Performance Evaluation
  • LANGUAGE OF EVALUATION: Greek
  • METHODS OF EVALUATION: written work (20%), Final exam (80%)

Attached Bibliography

  • Anderson EJ (2014). Business Risk Management: Models and Analysis. Wiley
  • Boudoukh A., J., A. Saunders (2009) Understanding Market, Credit, and Operational Risk: The Value at Risk Approach Linda, Wiley-Blackwell
  • McNeil, A.J., R. Frey and P. Embrechts, (2005) Quantitative Risk Management, Princeton University Press, New Jersey
  • [Περιοδικό / Journal] Risk Management