本課程的目的在幫助學生認識金融創新的發展以及新金融產品。在金融創新的發展方面,大數據、金融服務的創新與先進金融科技(Fintech)的演化,使得金融業受到相當的衝擊。在產品創新方面,期貨及選擇權等商品的盛行,滿足了市場避險者及投資者的需求。本課程將聚焦在金融創新的發展及新金融商品的風險管理與交易策略。此外,金融商品、環境的創新無疑提高交易的複雜度與企業舞弊的機會,本課程亦討論企業舞弊相關議題及其風險控管。此科目對於初學或進階人士欲在金融創新與新金融商品有完整認識的人將有極大的助益。The purpose of this course is to help students understand the development of financial innovation and new financial products. In terms of the development of financial innovation, the innovation of big data, financial services and the evolution of advanced financial technology (Fintech) have caused considerable impact on the financial industry. In terms of product innovation, the popularity of commodities such as futures and options has met the needs of market risk averters and investors. This course will focus on the development of financial innovation and the risk management and trading strategies of new financial products. In addition, innovations in financial products and the environment will undoubtedly increase the complexity of transactions and the opportunities for corporate fraud. This course also discusses corporate fraud-related issues and risk control. This subject will be of great help to beginners or advanced students who want to have a complete understanding of financial innovation and new financial products.
教師講義
Teacher handouts
評分項目 Grading Method | 配分比例 Grading percentage | 說明 Description |
---|---|---|
出席出席 Attend |
25 | |
課程活動、分組報告表現、課堂互動課程活動、分組報告表現、課堂互動 Course activities, group report performance, classroom interaction |
75 |