FI:PV271 Risk Management in IT - Course Information
PV271 Risk Management in IT
Faculty of InformaticsAutumn 2022
- Extent and Intensity
- 1/1/0. 2 credit(s) (plus extra credits for completion). Type of Completion: zk (examination).
- Teacher(s)
- Stanislav Masák, M.Sc. (lecturer)
prof. RNDr. Tomáš Pitner, Ph.D. (lecturer)
Radmila Čermáková (assistant) - Guaranteed by
- prof. RNDr. Tomáš Pitner, Ph.D.
Department of Computer Systems and Communications – Faculty of Informatics
Supplier department: Department of Computer Systems and Communications – Faculty of Informatics - Timetable
- Thu 22. 9. to Thu 1. 12. each even Thursday 10:00–11:50 D2
- Course Enrolment Limitations
- The course is also offered to the students of the fields other than those the course is directly associated with.
- fields of study / plans the course is directly associated with
- there are 38 fields of study the course is directly associated with, display
- Course objectives
- The aim of the course is to provide a basic overview of the various types of risks that affect the IT area, as well as the ways of their management.
- Learning outcomes
- At the end of the course students should be able:
- to identify the risks they may encounter during their IT career;
- to analyze and measure the identified risk using appropriately chosen method;
- to apply risk management techniques. - Syllabus
- Introduction to Risk management in IT.
- Strategic planing.
- Definition of risk and its types.
- Risk management.
- Risk management.
- Risk measurement (Value at risk analysis).
- Standarts in risk managenet ISO 27 005, ISO 31 000.
- Financial analysis in risk management decision making.
- Risk managemant in praktice.
- Literature
- REJDA, George E. and Michael J. MCNAMARA. Principles of risk management and insurance. Global edition. Harlow: Pearson, 2017, 720 stran. ISBN 9781292151038. info
- OLSON, David L. and Desheng Dash WU. Enterprise risk management models. Second edition. Berlin: Springer-Verlag, 2017, ix, 216. ISBN 9783662537848. info
- ROHMEYER, Paul and Jennifer L. BAYUK. Financial cybersecurity risk management : leadership perspectives and guidance for systems and institutions. [New York]: Apress, 2019, xxi, 259. ISBN 9781484241936. info
- BESSIS, Joël. Risk management in banking. Fourth edition. Chichester: Wiley, 2015, x, 364. ISBN 9781118660218. info
- Teaching methods
- lectures, discussion and simulation game in seminars
- Assessment methods
- Completing semestral project - 50 points.
Oral examination - 50 points.
To pass the exam, it is necessary to obtain a minimum of 60% (60 points). - Language of instruction
- English
- Further comments (probably available only in Czech)
- Study Materials
The course is taught annually. - Teacher's information
- If you need more information or you want to ask something, please write to masakst@gmail.com
- Enrolment Statistics (Autumn 2022, recent)
- Permalink: https://is.muni.cz/course/fi/autumn2022/PV271