5886 - 國際金融理論 英授 Taught in English

Theory of International Finance

教育目標 Course Target

本課程的內容設計是期盼能有機會和從事國際經濟活動的企業公司主管分享並且關心國際金融趨勢,瞭解外匯市場,學習從基本面預測匯率變化和因應匯率變化之道,以及討論政府的穩定政策和通貨貶值對國際收支的影響。期盼藉此機會增長國際觀,增進國際金融專業知能和邏輯思考能力。主要的授課內容: 1. 討論蛻變中的國際金融趨勢與焦點問題 2. 討論如何從基本面預測均衡匯率的變化 3. 討論如何利用外匯市場和其他適當管道規避匯率風險 4. 討論匯率制度、資本流動程度和國內總體經濟的關係以及政府的穩定政策 5. 討論通貨貶值對國際收支的影響歡迎同學們選修本課程,共同參與討論並且分享經驗。

The content of this course is designed to provide opportunities to share with executives of companies engaged in international economic activities who are concerned about international financial trends, understand the foreign exchange market, learn how to predict and respond to exchange rate changes from fundamentals, and discuss the impact of government stabilization policies and currency depreciation on the balance of payments. I hope to take this opportunity to increase my international outlook and enhance my professional knowledge and logical thinking ability in international finance. Main teaching contents: 1. Discuss the changing international financial trends and focus issues 2. Discuss how to predict changes in the equilibrium exchange rate from fundamentals 3. Discuss how to use the foreign exchange market and other appropriate channels to avoid exchange rate risks 4. Discuss the relationship between the exchange rate system, the degree of capital flow and the overall domestic economy, as well as the government's stabilization policy 5. Discuss the impact of currency devaluation on the balance of payments. Students are welcome to take this course to participate in discussions and share experiences.

課程概述 Course Description

本課程乃係延續經濟學系大學部四年級的「國際金融理論」這門課程進行設計而來,課程內容涵蓋了外匯市場的各項實務操作、各種匯率制度運作的認識與了解、匯率的動態調整(dynamic adjustment)、宣告效果(announcement effect)、匯率制度變遷(the exchange regime switching)、匯率制度崩潰(the exchange regime collapse)、資產組合平衡模型分析(the portfolio balance approach)、雙元匯率制度:動態層面的分析、黑市外匯市場、開放經濟:最適控制模型的應用、匯率目標區(the exchange rate target zone)、通貨與金融危機(currency and financial crises)等課題,以做為本所學生修完總體經濟理論必修課程後,供學生選擇的一門總體經濟理論相關選修課程。

This course is designed as a continuation of the fourth-year undergraduate course "International Financial Theory" in the Department of Economics. The course content covers various practical operations in the foreign exchange market, knowledge and understanding of the operation of various exchange rate systems, dynamic adjustment of exchange rates, announcement effect, exchange regime switching, and exchange regime collapse. collapse), the portfolio balance approach, dual exchange rate system: dynamic level analysis, black market foreign exchange market, open economy: application of optimal control model, the exchange rate target zone, currency and financial crisis crises) and other topics, it is an elective course related to general economic theory for students to choose after completing the required courses on general economic theory.

參考書目 Reference Books

蕭欽篤 國際金融 第六板 2009年 智勝文化事業有限公司

Xiao Qindu International Finance Sixth Board 2009 Zhisheng Cultural Enterprise Co., Ltd.

評分方式 Grading

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平時成績
usual results
30 含出席率與上課互動熱誠
學期報告
term report
30 上台口頭報告和書面報告
期末考(筆試)
Final exam (written test)
40 可參閱任何相關資料

授課大綱 Course Plan

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選修-6239
經濟碩1,2 廖培賢 二/3,4,五/4[SS422] 0-3 詳細資訊 Details

課程資訊 Course Information

基本資料 Basic Information

  • 課程代碼 Course Code: 5886
  • 學分 Credit: 0-3
  • 上課時間 Course Time:
    Tuesday/6,7,8[M612]
  • 授課教師 Teacher:
    蕭欽篤
  • 修課班級 Class:
    國貿碩1,2
選課狀態 Enrollment Status

目前選課人數 Current Enrollment: 4 人

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