BNK 218 | Course Introduction and Application Information

Course Name
Risk Management and Transportation Insurance
Code
Semester
Theory
(hour/week)
Application/Lab
(hour/week)
Local Credits
ECTS
BNK 218
Fall/Spring
3
0
3
4

Prerequisites
None
Course Language
Turkish
Course Type
Elective
Course Level
Short Cycle
Course Coordinator -
Course Lecturer(s)
Assistant(s) -
Course Objectives This course is aimed to explain the type of risks for the local and global trade transportation and the risk management practices and processes regarding to these risks under the legal framework of insurance operations.
Learning Outcomes The students who succeeded in this course;
  • Will be able to identify the types of International Transportations
  • Will be able to identify the risk factors in International Transportations
  • Will be able to explain the importance of insurance concept in International Transportations
  • Will be able to list and explain the types of liability insurances
  • Will be able to explain the stages during the insurance process.
Course Description By this course, students will be able to know about the types of international transports, to recognize the risks involved in international transport and also to learn the methods and processes for the solution of current risks under the framework of insurance legislation.

 



Course Category

Core Courses
Major Area Courses
X
Supportive Courses
Media and Management Skills Courses
Transferable Skill Courses

 

WEEKLY SUBJECTS AND RELATED PREPARATION STUDIES

Week Subjects Related Preparation
1 Risk and Risk Management in Insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 1.
2 Risk Analysis Methods in Different Branches Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 2.
3 Risk Analysis Methods in Different Branches Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 2.
4 Introduction to Transport Insurance and Types of Transport Insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 3.
5 Introduction to Transport Insurance and Types of Transport Insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 3.
6 Basic concepts related to transportation insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 3.
7 Basic concepts related to transportation insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 3.
8 MID TERM MID TERM
9 Commodities and Securities Insurance guarantees, clauses, general conditions Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 4.
10 Commodities and Securities Insurance guarantees, clauses, general conditions Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 4.
11 Compensation applications in Commodity Insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 4.
12 Boat Insurance guarantees, clauses, general terms Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 5.
13 Compensation applications in Boat Insurance Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 5.
14 Carrier Liability Insurance coverage, clauses, general conditions (CMR, FFL, Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 6.
15 Carrier Liability Insurance coverage, clauses, general conditions (CMR, FFL, Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667. Chapter 6.
16 FINAL FINAL

 

Course Notes/Textbooks

Risk Yönetimi ve Sigortacılık, Yeni Sigortacılık Mevzuatı İle Uyumlu, Mahir Çipil, Nobel Akademik Yayıncılık, 2013, ISBN: 6051335667.

Suggested Readings/Materials

Instructor's Notes

 

EVALUATION SYSTEM

Semester Activities Number Weigthing
Participation
1
10
Laboratory / Application
Field Work
Quizzes / Studio Critiques
Homework / Assignments
Presentation / Jury
Project
Seminar / Workshop
Oral Exams
Midterm
1
40
Final Exam
1
50
Total

Weighting of Semester Activities on the Final Grade
2
50
Weighting of End-of-Semester Activities on the Final Grade
1
50
Total

ECTS / WORKLOAD TABLE

Semester Activities Number Duration (Hours) Workload
Theoretical Course Hours
(Including exam week: 16 x total hours)
16
3
48
Laboratory / Application Hours
(Including exam week: 16 x total hours)
16
Study Hours Out of Class
14
1
Field Work
Quizzes / Studio Critiques
Homework / Assignments
Presentation / Jury
Project
Seminar / Workshop
Oral Exam
Midterms
1
16
Final Exam
1
26
    Total
104

 

COURSE LEARNING OUTCOMES AND PROGRAM QUALIFICATIONS RELATIONSHIP

#
Program Competencies/Outcomes
* Contribution Level
1
2
3
4
5
1

To be able to explain the economic situations by analyzing the concepts of the economic, the general functioning of the system and the relationship between the elements of the system and the economic phenomena

2

To be able to discuss the role, importance and functions of the institutions providing banking and insurance services in the economic system

X
3

To be able to apply the principles and methods related to the services and products offered by banking and insurance companies considering the types of these companies

X
4

To be able to define the risk factor which is an important element of the financial system and  to use the financial instruments to manage the risk and benefit form the opportunities

X
5

To be able to develop the skills necessary for marketing and sales of financial products

6

To have the general knowledge about laws and specific legislation about bank, insurance, capital markets and foreign exchange

X
7

To be able to analyze financial statements like balance sheet and income statement and to be able to register, correct and close the financial transactions in the related accounting records within the accounting cycle

8

To be able to develop the analytical thinking skills required for the solution of professional problems and applies the rules of mathematics and logic

9

To be able to make decisions based on the principles of professional ethics, accountability and responsibility

10

To be able to use the english at the general level of European Language Portfolio A2 to communicate effectively with his / her colleagues and to follow up necessary professional sources in his/her field

11

To have the ability to work effectively in individual and multi-disciplinary teams and to use them in their work environment

12

To have a broad perspective on social and academic aspects by closely following the developments in various different subjects in or out of the scope of his/her profession

13

To be able to direct his/her education to a further level of education

*1 Lowest, 2 Low, 3 Average, 4 High, 5 Highest