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 can understand the management and operation process of financial markets and institutions after taking the course, and can use effective oral and writing methods to apply to professional career environments in future practice and academics.
Course Contents
This course will introduce the composition of the financial market and the functions of financial instruments. In addition, the course content will focus on the risk management of financial institutions, and the main contents include: introduction to financial institutions, explanation of financial instruments, risk measurement and management of financial institutions, financial bank supervision and the evolution of financial markets.
金融市場與機構乃財務領域之基礎課程;其內容除了著重在金融市場的認識(例如股票市場、債券市場、貨幣市場、外匯市場及衍生性金融商品市場等),亦包含各種財務工具、金融現象及相關政策的介紹。於課程中亦會討論各種金融機構(例如各類銀行、投資公司、保險公司及共同基金公司等)於市場中所扮演的角色及其在近年來的發展、特性與差異。
授課方式乃以指定教課書之內容為主軸,並輔以相關時事的討論及穿插於課程中的隨堂練習以加深學員對於金融市場及機構的了解,並進而得以獨立思考及判斷國內外金融現象的可能起因、變化、解決方法及其所對應政策的適當與有效性。
Financial markets and institutions are the basic courses of the financial field; in addition to focusing on the recognition of the financial market (such as stock markets, bond markets, currency markets, foreign exchange markets and derivative financial commodity markets, etc.), the content also includes introductions of various financial instruments, financial phenomena and related policies. During the course, the role of various financial institutions (such as banks, investment companies, insurance companies and mutual fund companies) in the market and their development, characteristics and differences in recent years will also be discussed.
The teaching method is based on the content of the designated teaching book, and discusses related to the current affairs and practices interspersed in the course to deepen students' understanding of the financial market and institutions, and thus to independently think and judge the possible causes, changes, solutions, and their appropriateness and effectiveness of the financial phenomena at home and abroad.
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 name: Financial Institutions Management-A Risk Management Approach 9e
Author: Saunders, A. and M. M. Cornett
Agent: McGraw Hill, Huatai Culture Agent
Specify readings (please refer to the list attached to the topic of the course)
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 |