리스크관리에 필요한 통계 등 계량기법을 배우고, 이를 활용하여 기업이나 금융기관에서 사용하는 기초적인 리스크관리기법을 학습함으로써 리스크관리전공자로서의 기본적인 지식을 갖추도록 한다.
교과목해설(영문)
This study applies theoretical models to insurance problems and is the real-world counterpart to theories discussed in actuarial science, risk management, and insurance courses. The coourse is divided into statistical applications part and finance and econimic applications part. This course also provides with basic concept nad application methods of enterprise risk management. The course also examines the specific issues if managing risk internationally and other pertinent issues faced by risk managers.