6076 - 金融創新與風險管理
Financial Innovation and Risk Management
教育目標 Course Target
本課程目的在幫助學生認識金融創新的發展及其產品,在金融創新下,所發展的商品,如期貨,選擇權,金融交換,權證,ETF等,在金融市場上扮演重要的角色。前半段,同學將認識期貨及選擇權等的交易原理和實務,後半段,將認識其他新金融商品。衍生性商品市場提供了避險的功能,同時也提供了絶佳的投資的機會。本課程原理及實務並重,並將搭配虛擬交易,和個案討論,讓同學體驗交易的感覺,及認識企業如何使用該商品。
The purpose of this course is to help students understand the development of financial innovation and its products. Under financial innovation, the products developed, such as futures, options, financial exchanges, warrants, ETFs, etc., play an important role in the financial market. In the first half, students will learn about the trading principles and practices of futures and options, and in the second half, students will learn about other new financial products. The derivatives market provides a hedging function and also provides excellent investment opportunities. This course pays equal attention to principles and practice, and will be paired with virtual transactions and case discussions to allow students to experience the feeling of trading and understand how companies use the product.
參考書目 Reference Books
陳威光”衍生性商品:選擇權,期貨,交換與風險管理”, 2009, 智勝 (再版) ISBN:978-957-729-778-5
Chen Weiguang "Derivatives: Options, Futures, Exchange and Risk Management", 2009, Zhisheng (reprint) ISBN: 978-957-729-778-5
評分方式 Grading
評分項目 Grading Method |
配分比例 Percentage |
說明 Description |
---|---|---|
出席 Attend |
20 | |
課程活動、分組報告表現 Course activities, group report performance |
80 |
授課大綱 Course Plan
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相似課程 Related Courses
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課程資訊 Course Information
基本資料 Basic Information
- 課程代碼 Course Code: 6076
- 學分 Credit: 3-0
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上課時間 Course Time:Thursday/11,12,13[M370]
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授課教師 Teacher:黃琛瑞/陳昭君
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修課班級 Class:高階經管班2
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選課備註 Memo:週間組優先選課;碩二財金組必選課程
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