Manajemen Risiko

Strategic Posture of Risk Management Concentration Period 2016-2026

Vision

Being a concentration that can create sustainable value on the basis of Risks Management science for business and non-business organizations in particular and society in general at international level in 2026

Mission

  • To provide superior education and teaching so as to form competent graduates in the field of Risks Management professionally, competitively and responsively to business and non-business challenges in the globalization era
  • Executing leading research in the field of Risks Management that published in reputable
  • Conducting community services based on the application of Risks Management science that provides benefits to users (industries of various sectors) in particular and to public in general.

Objectives

  • Recognition of graduates’ competence professionalism of Risks Management’s concentration by the users (industries of various sectors) at both national and international level
  • Publishing research results in the field of Risks Management science in reputable indexed journals 
  • Implementing the community services that provides benefits to users (industries of various sectors) in particular and to the public in general based on the application of the science of Risks Management

Strategies

  • Focus strategy: (Focus on educating and teaching the latest subject in the field of Risks Management science)
  • Differentiaton strategy: (Produce the latest interdisciplinary research in Risks Management) 
  • Cost leadership: (Conducting community services based on the science of Risks Management through partnerships with diverse stakeholders)

Courses

  • B20H.1.170 – Theory and Application of Financial Management (* pre-requisite)
  • B20H.2.510 – Market Risk Management
  • B20H.2.490 – Operational Risk Management
  • B20H.2.500 – Value at Risk
  • B20H.2.520 – Investment & Financial Risk Management 

 

Team Teaching:

Manajemen Risiko Operasional (MRO) / (Operational Risk Management) (3 SKS)

Academic Qualification:

  • Nanny Dewi Tanzil, SE., M.Comm.Ak. (Koord.)
  • Armanto Witjaksono, SE.,Ak., MM., QIA
  • Achadiat Adi, SE., MM

Manajemen Risiko Pasar (Market Risk Management) / (asalnya Manajemen Risiko Keuangan /MRK / Financial Risk Management)

Academic Qualification:

  • Rachmat Sudarsono, SE., M.Si
  • Achadiat Adi, SE., MM

Investasi & Manajemen Risiko Keuangan (Investment and Financial Risk Management) / (asalnya Risiko Investasi pada Instrumen Keuangan / Investment Risk on Financial Instrument)

Academic Qualification:

  • Rachmat Sudarsono, SE., M.Si
  • Riko Hendrawan, ACP., CSCP. QIA

Value At Risk (VAR) /3 SKS

Academic Qualification:

  • Nanny Dewi, SE., M.Comm.Ak (Koord.)
  • Aldrin Herwany
  • Benny Budiawan Tjandrasa, SE, MM
  • Bram Hadianto, SE, MM

Students’ Profil of Risk Management Concentration: 

Year 2017, Odd Semester:

  • Helmi Setiawan M. , Full Time Student
  • Rizky Mustika H. , Full Time Student
  • Robby Falah F. , Full Time Student
  • Kenny Doenanke A. , Full Time Student
error: Content is protected !!