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6014 - 保險學 Insurance


教育目標 Course Target

The objective of this course is to develop the basic microeconomic models for risk and insurance with setting that economic agents are faced with uncertainty. The main topics include decision making under uncertainty, insurance demand, adverse selection, moral hazard, and insurance company operations. The models and cases discussed in this course are adaptable to many situations in finance and economics, but with an emphasis on insurance markets as means of transferring risk and wealth.The objective of this course is to develop the basic microeconomic models for risk and insurance with setting that economic agents are faced with uncertainty. The main topics include decision making under uncertainty, insurance demand, adverse selection, moral hazard, and insurance company operations. models and cases discussed in this course are adaptable to many situations in finance and economics, but with an emphasis on insurance markets as means of transferring risk and wealth.


課程概述 Course Description

本課程將從多國籍企業的觀點切入觀測全球化產業整合與發展,並從政治、法律、財經、科技以及自然災害等環境的風險,討論多國籍企業經營所面臨風險,並分析國際經濟組織、金融機構整合、全球產壽險產業結構、各國保險監理與兩岸三地風險管理等各層面議題。
This course will observe the integration and development of globalized industries from the perspective of multinational enterprises, discuss the risks faced by multinational enterprises in their operations from the perspective of environmental risks such as politics, law, finance, science and technology, and natural disasters, and analyze international economic organizations, Issues at various levels such as the integration of financial institutions, the structure of the global property and life insurance industry, insurance supervision in various countries, and risk management in cross-strait and three places.


參考書目 Reference Books

G. Rejda,Principles of Risk Management and Insurance, 12th ed., 2014. (GR)
D. Bradford, The Economics of Property-Casualty Insurance, 1998, .(B)
E. Altman and I. Vanderhoof, The Financial Dynamics of the Insurance Industry, 1995, (AV).
G. Rejda,Principles of Risk Management and Insurance, 12th ed., 2014. (GR)
D. Bradford, The Economics of Property-Casualty Insurance, 1998, .(B)
E. Altman and I. Vanderhoof, The Financial Dynamics of the Insurance Industry, 1995, (AV).


評分方式 Grading

評分項目 Grading Method 配分比例 Grading percentage 說明 Description
Midterm examinationMidterm examination
midterm examination
30
Final examinationFinal examination
final examination
40
Presentation and discussionPresentation and discussion
presentation and discussion
30

授課大綱 Course Plan

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Course Information

Description

學分 Credit:3-0
上課時間 Course Time:Friday/2,3,4[M243]
授課教師 Teacher:楊尚穎
修課班級 Class:財金碩2
選課備註 Memo:
授課大綱 Course Plan: Open

選課狀態 Attendance

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