Lecturer(s)
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Mráz Jiří, prof. Ing. Ph.D.
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Course content
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The course is intended for doctoral studies. - Introduction into Risk Management, Basic Terms, the Significance of Risk Management in Contemporary Enterprises. - Approaches to the Risk, Risk Classification, Measurement and Evaluation. - Risk Management Concepts in Contemporary Enterprises, Crises Avoidance and Risk Treatment. - The Strategic Risk management, Scenario Approaches, Creation of Strategic Variants. - Risk Management in Investment Projects, Feasibility Study Focused on Risk Management Approaches. - Methods Used in Financial Risk Management. - Risk Management in Enterprises 'and Projects 'Performance. - Risk Management in Commercial Activities. - Risk Simulation, risk Prediction. - The Problems of Decision-making Theory. - Organizational Ensuring of the Risk Management in Enterprises. - Risk Management Implementation.
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Learning activities and teaching methods
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- Preparation for an examination (30-60)
- 100 hours per semester
- Contact hours
- 24 hours per semester
- Individual project (40)
- 100 hours per semester
- Presentation preparation (report) (1-10)
- 36 hours per semester
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prerequisite |
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Knowledge |
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Student is able to acquire basic tools of software aid. |
Skills |
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Student acquires work with unadopted specialized text. Student is able to elaborate specilazed reviews to given topics. |
Competences |
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Successful completion of Master´s study programme. |
learning outcomes |
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Knowledge |
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student is able: - to clarify and discuss the risk management theory. - to apply risk management methods. |
Skills |
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Student is able: - to indentify risk factors and to deduce risks influencing the firm´s strategic plan. - to work out environmental scenarios. - to predict anticipated firm´s development under impact of significant risks. - to design and organize preventive measures for risk treatment. |
Competences |
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Student can: - explain and discuss the theory of risk management - apply the methods of risk management. |
teaching methods |
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Knowledge |
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Lecture supplemented with a discussion |
Seminar |
Self-study of literature |
Skills |
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Lecture supplemented with a discussion |
Individual study |
Group discussion |
Competences |
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Lecture supplemented with a discussion |
Textual studies |
Self-study of literature |
One-to-One tutorial |
assessment methods |
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Knowledge |
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Oral exam |
Skills demonstration during practicum |
Seminar work |
Individual presentation at a seminar |
Skills |
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Oral exam |
Seminar work |
Individual presentation at a seminar |
Competences |
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Oral exam |
Seminar work |
Individual presentation at a seminar |
Recommended literature
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COLEMAN, Les. Risk Strategies. Dialling Up Optimum Firm Risk. Farnham: Gower Publishing Company, 2009. ISBN 978-0-566-08938-1.
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FOTR, Jiří, HNILICA, Jiří. Aplikovaná analýza rizika ve finančním managementu a investičním rozhodování. 2., aktualizované a rozšířené vydání. Praha: Grada Publishing, 2014. ISBN 978-80-247-5104-7.
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FOTR, Jiří, Švecová, Lenka, a kolektiv. Manažerské rozhodování. 3. vydání. Praha: Ekopress, 2016. ISBN 978-80-87865-33-0.
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FRASER, John, SIMKINS, Betty J. Enterprise Risk Management: Today´s Leading Research and Best Practices for Tomorrow´s Executives. John Willey&Sons, 2010. ISBN 978-0470499085.
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GARLICK, Andy. Estimating Risk. Farnham: Gower Publishing Company, 2007. ISBN 978-0566087769.
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HOPKIN, Paul. Risk Management. Kogan Page, 2013. ISBN 978-0-749-46838-5.
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LEITCH, Matthew. Intelligent Internal Control and Risk Management: Designing High-Performance Risk Control Systems. 1st Edition. Farnham: Gower Publishing Company, 2008. ISBN 978-0-566-08799-8.
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SMEJKAL, Vladimír, RAIS, Karel. Řízení rizik ve firmách a jiných organizacích. 4., aktualizované a rozšířené vydání. Praha: Grada Publishing, 2013. ISBN 978-80-247-4644-9.
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