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Humboldt-Universität zu Berlin - Versicherungs- und Risikomanagement

Module: Risk Management and Insurance

Wahlmodul für Master-Studierende


In order to successfully complete this module, students have to accomplish at least 6 SP (180h). You can attend more classes if you want but you are not obliged to.













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  • Risk Management and Insurance (6 SP)
    (Lecture + tutorial)

    Goals:

    Understand the relevance of risk management; systematization of risk management instruments; application of an adequate mix of risk management tools.


    Course Language: English

  • Asset and Liability Management for Insurance Companies (6 SP)
    (Lecture + tutorial)

    Goals:

    Development of basic principles and design of value-based management systems for insurance companies; introduction into and application of the most relevant risk management tools in insurance companies: asset management, liability management, asset-liability management, reinsurance.

    Course Language: English

  • Case Studies with @Risk (3 SP)
    (Tutorial)

    Goals:

    Case studies on different topics of risk management and insurance will be discussed. All necessary risk analyses are undertaken with the risk analysis software @Risk. Thus, the course enables students to get some hands-on-experience with simulation software.

    Course Language: English


  • Rechnungslegung, Controlling und Risikomanagement im Versicherungskonzern (3 SP) (Lecture)


    Goals:
    Introduction to insurance-specific accounting standards according to German GAAP (HGB) and IFRS, development of basic skills for internal control of insurance companies and groups.

    Course Language: German