Location via proxy:   [ UP ]  
[Report a bug]   [Manage cookies]                

Assignment 4

Download as docx, pdf, or txt
Download as docx, pdf, or txt
You are on page 1of 3

UNIVERSITI UTARA MALAYSIA

Bachelor of Risk Management and Insurance

Semester A201 2020/2021

RISK MANAGEMENT BWRR3033

Assignment:
Your assignment should be typed, illustrated and presented on A4 paper using 11 font size (Arial)
and 1.5 spacing, wordings used in the tables or figures can be in a smaller font size.
1. This written assignment carries a 40% marks toward the final grade.
2. Plagiarisms in all forms are not acceptable. Students who submit plagiarized
assignment will be given a fail grade.
3. This assignment will be due on 18th Jan 2021. Late submission will have penalties.
4. Citation shall be made based on APA referencing style.
5. This assignment is restricted to a maximum of 20 pages.
6. The assignment should be done and submitted INDIVIDUALLY.
7. The report should be in a form of journal article containing the title of the paper, names
and affiliation of the students, emails, abstract, keywords, introduction, literature review,
methodology, results and findings, discussion, and conclusion.
8. The abstract should contain the summary of the paper
9. Introduction should present the importance of risk management process and strategies
and the need for writing the paper. For example, most risk management literature don’t
focus on Malaysia, hence the need to explore the risk management strategies in Malaysia.
10. Literature review section will review relevant literature on risk management and strategies
in management risk.
11. Methodology refers to the steps that you followed in accomplishing assignment. It should
contain research design (qualitative, quantitative or mix method design), instrument for
data collection (e.g. questionnaire or interview), procedure for data collection (if interview,
who were interviewed, when, where, how the interview was conducted (e.g .face-to-face)
long, what was asked, what are the responses, how the responses were analyzed etc.
12. Results refer to the information obtained after analysis. Findings are the interpretation of
the results.
13. Discussion is relating or comparing your findings with previous related studies. In this
case, on strategies of managing risks.
14. Conclusion presents the significance and contribution of the paper to the body of
knowledge and to the industry, major limitation and direction for future research.
15. References: APA style
16. Attach all relevant appendix to your paper.
Topic: Risk Management Process and Strategies in Malaysia and the South East Region

Introduction: Risk Management Strategy is an integrated business process that incorporates


all of the Risk Management processes, activities, methodologies and policies adopted and carried
out in an organization. The Risk Management strategy sets the parameters for the entire Risk
Management and is usually released by the executive management of an organization.

An example of a Risk Management Strategy can be found in the two links below:

https://business.tutsplus.com/tutorials/effective-risk-management-strategies--cms-22887

https://quantumfbi.com/effective-risk-management-strategies/

Other examples can be found through Articles shared in our whatsapp grooup

Description of Assignment:

The purpose of this assignment is to enable students to evaluate the risk management strategies
used by organizations in the context of Malaysia and the South East Region.

Hence, students are expected to be able to demonstrate understanding of Risk models (CLO1);
evaluate the risk management strategies used in Malaysia and the South East Region (CLO2),
Prepare strategies for managing risks in organizations (CLO4).

Against this background, you are required to:

i. Identify one organization in Malaysia and South East Region for this assignment.

ii. Read the assignment articles number shared in our whatsapp group.

iii. Use the articles for writing introduction, literature review and discussion section. The literature
will focus on definitions, and strategies for risk management. You can refer to some relevant
sources

iv. You can adopt or adapt any research methodology from the articles.

v. Decide on the instrument for data collection (questionnaire or interview). You can find guide
from the assignment articles. The data you collect from the organization in Malaysia and the
South East will form your research data. Decide on the analysis of the data.
vi. Discussion part will focus on comparison between the strategies in the literature and the
strategies being practiced in MALAYSIA and South East.

vii. If interview is conducted, please provide the details of interview must be provided

a. where the interview was conducted?


b. when it was conducted and for how long?
c. who were interviewed?
d. What was asked (questions)?
e. What were the responses and how the responses were recorded?

viii. Produce a research paper that demonstrates the application of the knowledge you have
acquired on risk management.

ix. The report (research paper) should also contain the sections mentioned in items 8-14 above.

a. Title of the paper, name of student, matric numbers, University email addresses
b. Abstract:
The aim or objectives of the paper
The research strategy (qualitative or quantitative or mixed
method) Instrument for data collection
Procedure for data
collection Procedure for
data analysis
Main finding(s) base on
objective(s) Implication of the
research finding(s)

You might also like