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財務金融學系
course information of 109 - 2 | 6012 Financial Markets and Institutions(金融市場與機構)

6012 - 金融市場與機構 Financial Markets and Institutions


教育目標 Course Target

課程目標(Course Objectives) 本課程希望學生修習過後能理解金融市場與機構的管理及營運過程,並能利用有效的口語、書寫表達方式應用於未來實務及學術的專業職場環境中。 課程內涵(Course Contents) 本課程將介紹金融市場的組成以及金融工具的功能。另外,課程內容將著重於金融機構之風險管理,主要內容包括:金融機構經營介紹、金融工具之說明、金融機構的風險衡量與管理、金融銀行監理與金融市場的演進。 Course Objectives This course hopes that students will be able to understand the management and operation processes of financial markets and institutions, and be able to use effective oral and written expressions to apply in future practical and academic professional workplace environments. Course Contents This course will introduce the components of financial markets and the functions of financial instruments. In addition, the course content will focus on the risk management of financial institutions. The main contents include: introduction to the operation of financial institutions, description of financial instruments, risk measurement and management of financial institutions, financial bank supervision and the evolution of financial markets.


課程概述 Course Description

此課程乃財務管理之相關基楚課程,其內容除了著重在金融市場的認識﹙例如股票市場,債卷市場,貨幣市場,外滙市場及衍生性金融市場等﹚,亦包含不同財務工具及貨幣政策的介紹。於課程中亦會討論各種金融機構(例如商業銀行,投資銀行,放款銀行,保險公司及共同基金公司等)的特性及差異,以及金融機構如何控管風險等相關議題。
This course is a basic course related to financial management. In addition to focusing on the understanding of financial markets (such as the stock market, bond market, currency market, foreign exchange market and derivative financial market, etc.), it also covers different financial tools and monetary policies. introduction. The course will also discuss the characteristics and differences of various financial institutions (such as commercial banks, investment banks, lending banks, insurance companies and mutual fund companies, etc.), as well as how financial institutions control risks and other related issues.


參考書目 Reference Books

書名:Financial Institutions Management-A Risk Management Approach 9e
作者:Saunders, A. and M. M. Cornett
代理商:McGraw Hill, 華泰文化代理

指定閱讀文獻(請參考詳細課程主題所附之清單)

Book title: Financial Institutions Management-A Risk Management Approach 9e
Author: Saunders, A. and M. M. Cornett
Agent: McGraw Hill, Huatai Culture Agent

Specified readings (please refer to the list attached for detailed course topics)


評分方式 Grading

評分項目 Grading Method 配分比例 Grading percentage 說明 Description
Midterm examMidterm exam
midterm exam
30
Final examFinal exam
final exam
30
Oral Presentation and ReportOral Presentation and Report
oral presentation and report
20

授課大綱 Course Plan

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相似課程 Related Course

必修-1494 Financial Markets and Institutions / 金融市場與機構 (財金系1A,授課教師:陳家偉,四/6,7,五/2[M155])
必修-1498 Financial Markets and Institutions / 金融市場與機構 (財金系1B,授課教師:陳家偉,四/2[M153] 五/3,4[M155])

Course Information

Description

學分 Credit:0-3
上課時間 Course Time:Friday/2,3,4[M332]
授課教師 Teacher:謝依婷
修課班級 Class:財金碩1
選課備註 Memo:
授課大綱 Course Plan: Open

選課狀態 Attendance

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目前選課人數為 20 人。

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