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財務(wù)金融研究所中英文課程內(nèi)容摘要Graduate Institute of Finance一、必修科目Required Courses667001財務(wù)理論3必洪仁杰、上本課程旨在使同學(xué)瞭解近代財務(wù)理論之發(fā)展,包括代理理論、資本預(yù)算與投資決策、資本結(jié)構(gòu)、股利政策、風(fēng)險與報酬、投資組合理論、債券及證券評價以及衍生性商品評價等。667001Finance Theory3R. J. Hung, FThe course is designed to provide students with understanding of the recent development in finance theories, including agency theory, capital budgeting and investment decision, capital structure, dividend policy, risks and returns, portfolio theory, bond and stock valuation and derivative assets valuation.667002計量經(jīng)濟學(xué)3必黃鴻禧、上本課程之目的,在於介紹經(jīng)濟或企業(yè)管理上所使用的計量模型及工具。本課程將提供學(xué)生如何應(yīng)用實際的資料,建構(gòu)適當(dāng)?shù)哪P?,以及進行模型推估結(jié)果的檢定,主要內(nèi)容包括1.迴歸模型:(1)簡單線形迴歸模型,(2)複迴歸模型,(3)序列相關(guān)與非均齊變異,(4)工具變數(shù)與模型設(shè)定,(5)單一函數(shù)迴歸模型之其他進階主題,(6)聯(lián)立方程式之迴歸模型;2.時間序列模型:(1)時間序列資料的性質(zhì)與時間序列模型,(2)時間序列模型之推估與檢驗,(3)時間序列模型之應(yīng)用。667002Econometrics3R H. H. Huang, FThe purpose of this course focused upon models of processes that occur in business and economics. Quantitative tools that are used to construct and then test mathematical representations of the real world would be introduced. With the training of this course, the students would gain some understanding of the science and art of determining what type of model to be build, building the model which is most appropriate, testing the model statistically, and then finally applying the model to practical problems in analysis. The major contents of this course include: 1. Regression models: (1)Simple Linear Regression Model, (2)Multiple Regression Model, (3)Serial Correlation and Heteroscedasticity, (4)Instrumental Variables and Model Specifications, (5)Advanced Topics in Single Equation Estimation, (6)Simultaneous-Equation Estimation. 2.Time-series models(1)Properties of Time Series Data and Linear Time-Series Models, (2)Estimating and Checking Time-Series Models, (3)Applications of Time-Series Models.667003 碩士論文6必指導(dǎo)教授、上、下本課程主要是在於訓(xùn)練碩士班研究生正確的研究態(tài)度與研究能力,經(jīng)由對專業(yè)方向的研究,期使培養(yǎng)研究生的獨立研究能力。667003Thesis6Major or Thesis Advisor,F,SThe main purpose of course is to train the learners to be independent researchers. Though taking this course, the students will have correct research attitudes and ability, and to be an excellent researcher.二、選修科目Elective Courses667004金融市場與機構(gòu)3選洪仁杰、上本課程旨在使學(xué)生對國內(nèi)外之金融市場有基本認(rèn)識,授課內(nèi)容包括:(1)貨幣市場;(2)資本市場;(3)外匯市場;(4)歐洲通貨市場;(5)歐洲通貨單位;(6)國際債券市場;(7)國際外匯市場;(8)期貨與選擇權(quán)市場。667004Financial Markets and Institutions 3 R. J. Hung, FThe course is designed to provide students with understanding of both domestic and international financial markets, the contents include:1.Money Market.5.ECU Financial Market.2.Capital Market.6.International Bond Market.3.Foreign exchange Market.7.International foreign exchange Market.4.Eurocurrency Market.8.The market of Futures and Options.667005投資組合管理3選林坤輝、上本課程旨在教授投資組合基本理論以及如何建構(gòu)與管理投資組合。透過實例分析使學(xué)生深入了解理論之應(yīng)用與實務(wù)上如何建構(gòu)與管理投資組合。667005Portfolio Management3 K. H. Lin, FThe objective of this course is to give the basic theory of portfolio and the way of portfolio construction, management and protection. By emphasizing in the case analysis, students are expected to have deep insight and knowledge about applications of theory and portfolio construction and management.667006期貨與選擇權(quán)3選潘璟靜、上本課程涵蓋以下內(nèi)容:1.衍生性金融產(chǎn)品介紹。2.衍生性金融資產(chǎn)交易。3.衍生性金融資產(chǎn)價格之決定。667006Futures and Options3 G. G. Pan, FThis program covers the following topics:1.Introduction of derivatives securities.2.Trading of derivatives securities.3.Pricing derivatives securities.667007投資學(xué)原理3選林坤輝、上本課程利用專書與論著研讀,探討現(xiàn)代投資學(xué)原理與實務(wù)操作。內(nèi)容包括股票、債券及其它投資工具。667007The Principle of Investment 3 K. H. Lin, FBy using textbooks and papers, this course discusses the theories principles and technology of modern investment. The main issues cover stock, bond and other investment instruments.667008個體經(jīng)濟學(xué)3選洪仁杰、上本課程旨在介紹一般個體經(jīng)濟理論之觀念,及其在管理問題研究上之應(yīng)用。其內(nèi)容主要包括:1.消費者理論;2.生產(chǎn)者理論;3.市場理論;及4.資訊經(jīng)濟學(xué)等。667008Microeconomics3 R. J. Hung, FThe course is designed provide students with understanding of to study the theory of microeconomics and its application. The major contents include: 1. The theory of consumer choice and demand; 2.The theory of the firm; 3.The theory of markets; 4.Topics in information economics.667009 保險業(yè)管理3選黃鴻禧、上本課程旨在討論人壽保險、財產(chǎn)保險和責(zé)任保險的某些特定主題。在各種保險商品下,課程內(nèi)容主要集中於保險定價、保險經(jīng)濟和保險經(jīng)營。667009 Special Topics on Insurance Markets3SH.H.Huang,FThis course discusses some special topics on the life insurance, property insurance and liability insurance. Under various insurances, the main contents focus on the insurance pricing, insurance economics, and insurance operation.667010投資銀行管理3選黃鴻禧、上本課程旨在探討投資銀行管理相關(guān)議題。包括國內(nèi)及國際承銷、私募、創(chuàng)投評估、企業(yè)評價、購併業(yè)務(wù)、民營化規(guī)劃及金融資產(chǎn)管理等議題。667010 Investment Banking Management3SH. H. Huang, FThis course aims to discuss the related issues of investment banking management. The contents include the domestic and international underwritings, private placements, joint ventures, business evaluation, M&A, privatization planning and financial asset management, etc.667011 時間序列分析專題3選黃鴻禧、下本課程之目的,在使學(xué)生了解不同領(lǐng)域中一個或多個隨時間而變化現(xiàn)象的發(fā)展,以一整合的方式來呈現(xiàn)時間序列分析的各種觀點。667011Special Topics on Time Series Analysis 3 H. H. Huang, SThe purpose of this course is on the analysis of the evolution of one or more time varying phenomena has long been the domain of interest of experts in various fields. We have tried to present a variety of aspects of time-series analysis in a synthetic manner.667012隨機過程專題3選黃鴻禧、下本課程之目的,在介紹處理馬可夫鏈、波瓦松過程、生死過程、高斯過程、布郎尼移動等隨機過程及其應(yīng)用。667012Special Topics on Stochastic Processes 3 H. H. Huang, SThe objectives of this course are to equip, the students with understanding of Stochastic Processes MarKov chains, Poisson processes, birth and death processes, Gaussian processes, Brownian motion by means of elementary Stochastic differential equation.667013數(shù)量方法3選潘璟靜、下本課程之目標(biāo)在培養(yǎng)學(xué)生以數(shù)量方法進行問題分析與研判之基本能力數(shù)量方法課程內(nèi)容大綱:1.相關(guān)分析;2.路徑分析;3.變異數(shù)分析;4.迴歸分析;5.因素分析;6.判別分析;7.正準(zhǔn)相關(guān)分析;8.集群分析。667013Quantitative Methodology 3G. G. Pan, SThe objectives of this course are to improve students abilities of problem solving and quantitative data analysis.The course contents are as follows:1.Correlation analysis.5.Factor analysis.2.Path analysis.6.Discriminate analysis.3.Analysis of variance.7.Canonical correlation analysis.4.Regression analysis.667014財務(wù)數(shù)學(xué)3選潘璟靜、下本課程探討與衍生證券定價相關(guān)之主要數(shù)學(xué)工具,並涵蓋1.套利理論;2.Black-Scholes模型;3.等價平賭測度。667014Mathematics of Financial Derivatives 3 G. G. Pan, SThis program deals with the major mathematical tools found useful in derivatives pricing theory, and covers the following topics:1.The arbitrage theorem.2.The Black-Scholes model.3.Equivalent martingale measures.667015財務(wù)計量3選潘璟靜、下本課程涵蓋以下內(nèi)容:1.金融資產(chǎn)價格之短期時間序列行為2.金融資產(chǎn)價格之橫斷面行為3.衍生性金融證券及金融資產(chǎn)價格之非線性模型667015The Econometrics of Financial Markets 3 G. G. Pan SThis program covers the following topics:1.Short-run time-series behavior of financial asset prices.2.Cross-sectional models of financial asset prices.3.Derivative securities and nonlinear methods of financial asset prices.667016高等財務(wù)管理3選林坤輝、下本課程旨在探討公司高階管理階層所面臨的相關(guān)財務(wù)決策,包括財務(wù)診斷、投資決策、融資決策與價值管理。並透過實例分析討論使學(xué)生了解企業(yè)財務(wù)決策可能產(chǎn)生之預(yù)期結(jié)果。667016 Finance for Executives3 K. H. Lin, SThis course discusses issues about financial decisions that are specially addressed to executives, such as financial diagnosis, investment decisions, financing decisions and value-management. Emphasis in the case analysis in order to provide a common thread that reinforces students understanding.667017期貨與選擇權(quán)專題3選潘璟靜、下本課程涵蓋以下內(nèi)容:1.衍生性金融資產(chǎn)價格之決定。2.不連續(xù)時間衍生性金融資產(chǎn)定價模型。3.連續(xù)時間衍生性金融資產(chǎn)定價模型。667017Special Topics on Futures and Options3 G. G. Pan, SThis program covers the following topics:1.Pricing derivatives securities2.Discrete-time pricing models for derivatives securities3.Continuous-time pricing models for derivatives securities667018 公司理財專題3選林坤輝、下本課程主要探討公司理財?shù)南嚓P(guān)主題,藉由著述之探討,對融資決策與投資決策二大主題進行深入研究。667018Special Topics on Corporate Finance3 K. H. Lin, SThis course discusses issues about corporate finance. By using papers reading and discussing, students are expected to have deep insight and knowledge about financing decisions and investment decisions.667019金融市場專題3選黃鴻禧、下本課程主要探討金融市場的管理,藉由著述之探討,對金融市場管理進行深入研究。667019Special Topics on Financial Markets Administration 3 H. H. Huang, SThis course discusses issues about financial markets management. By using papers reading and discussing, students are expected to have deep insight and knowledge about financial markets management.667020投資管理專題3選林坤輝、下本課程係研討有關(guān)投資管理相關(guān)的學(xué)理與實務(wù)主題。藉由著述之探討,使學(xué)生深入暸解有關(guān)學(xué)術(shù)與實務(wù)上如何建構(gòu)與管理資產(chǎn)組合。667020Special Topics on Portfolio Management 3 K. H. Lin, SThe main purpose of this course is discussing and comprehending topics in Portfolio Management. The issues include theoretical discuss and practical application. By using papers reading and discussing, students are expected to have deep insight and knowledge about portfolio construction, management and protection.667021總體經(jīng)濟學(xué)3選洪仁杰、下本課程旨在探討消費、投資、貨幣需求與供給、通貨膨脹、失業(yè)率與經(jīng)濟成長之理論模型與實證研究,財政政策與貨幣政策之適用時機與效果與理性預(yù)期理論及其對總體經(jīng)濟之影響。667021Macroeconomics3 R. J. Hung, SThe course is designed to provide students with understanding of the theoretical models and their empirical studies in consumption, investment, demand for and supply of money, inflation, unemployment, economic growth, to discuss the effects of monetary and fiscal policy in the extended models, and to study the theory of rational expectation and its effect on macro economy.667022投資專案評估3選洪仁杰、上本課程之目的,在使學(xué)生瞭解企業(yè)及公共投資可行性評估。主要內(nèi)容包括市場可行性、財務(wù)可行性、技術(shù)可行性、法律可行性及環(huán)境影響評估等。667022Investment Project Evaluation 3 R. J. Hung, FThe purpose of this course is to provide students with the knowledge and skills for feasibility analysis of both private and public investment projects. The contents include market feasibility, financial feasibility, technical feasibility, law and regulation feasibility, and environmental impact assessment.667023 公司治理專題3選 林坤輝、下公司治理(corporate governance)概念一般泛指公司管理與監(jiān)控的方法。公司治理運作不上軌道,是企業(yè)無法提昇國際競爭力之關(guān)鍵因素之一。2001年美國恩龍案(Enron)後陸續(xù)引發(fā)的金融危機,更突顯公司治理的重要性。本課程首先研討公司治理的機制以及其重要性,具有優(yōu)良的公司治理機制的企業(yè),能為股東製造更高的獲利機會,在面對金融危機時,亦較具競爭力及應(yīng)變能力。 繼而深入探討會計資訊在公司治理機制中扮演的角色,以及相關(guān)的研究。 667023 Special Topics on Corporate Governance3S K. H. Lin,SThe main purpose of this course is to provide the students with in-depth understanding of the role of publicly reported financial accounting information in the governance processes of corporations. The first part focuses on the issue of corporate governance, which encompasses the internal policies and practices by which a company is operated and controlled on behalf of its shareholders. The advantages of sound corporate governance are discussed as well as a good system of corporate governance that helps maintain the confidence of investors, which allows companies to raise capital efficiently. The second part concentrates on the research that examines the role of accounting information in specific governance mechanisms. 667024賽局理論專題3選林坤輝、上本課程採用專書與論著研讀與討論,探討賽局理論的原理與實務(wù)應(yīng)用。內(nèi)容包括賽局的構(gòu)成、推演與應(yīng)用。667024Special Topics on Game Theory3 K. H. Lin, FBy using textbooks and papers, this course discusses the theories, principles and applications of game theory. The course covers the issues about structure, modeling, and application in game.667025高等統(tǒng)計學(xué)3選潘璟靜、上本課程之目標(biāo)在培養(yǎng)學(xué)生具統(tǒng)計分析與推理之基本能力。高等統(tǒng)計學(xué)課程內(nèi)容大綱包括1.樣本空間與隨機變數(shù);2.間斷機率分配;3.連續(xù)機率分配;4.條件分配與獨立性;5.隨機變數(shù)之轉(zhuǎn)換;6.漸近理論;7.估計理論;8.假設(shè)檢定理論;9.迴歸與相關(guān);10.變異數(shù)分析;11.無母數(shù)統(tǒng)計方法;12.貝氏決策理論。667025Advanced Statistics3 G. G. Pan, FThe objectives of this course are to improve students abilities of data analysis and statistical inference.The course contents are as follows:1.Sample space and random variables.7.Estimation theory.2.Discrete probability and distribution.8.Hypothesis testing.3.Continuous probability and distribution.9.Regression and correlation.4.Conditional distribution and independence.10.Analysis of variance.5.Transformation of random variables.11.Nonparametric statistics.6.Asymptotic theory.12.Bayesian decision theory.8.Cluster analysis.667026財務(wù)演算法3選潘璟靜、上本課程介紹各種財務(wù)工程上常見的數(shù)值演算法,並涵蓋以下內(nèi)容:1.數(shù)值計算之基本工具2.格點法3.有限差分法4.蒙地卡羅分析法667026Financial Algorism3 G. G. Pan, FThis program introduces the major numerical methods found useful in the financial engineering, and covers the following topics:1.Basic tools of numerical computation2.Lattice method3.Finite difference method4.Monte Carlo method667027國際財務(wù)管理3選林坤輝、上本課程旨在探討多國籍企業(yè)所面臨的匯率風(fēng)險以及相關(guān)的財務(wù)決策,包括長短期資產(chǎn)與負(fù)債之管理。本課程將提供一個多國籍企業(yè)財務(wù)分析的觀念性架構(gòu),並以實例分析加強學(xué)生對多國籍企業(yè)財務(wù)決策之了解。667027International Financial Management3 K. H. Lin, FThis course discusses issues about foreign exchange risk and financial decisions of a multinational firm. This course will provide a conceptual framework within which the key financial decisions of the multinational firm can be analyzed. Emphasis in the case analysis in order to reinforce students understanding.667028固定收益證券分析3選潘璟靜、上本課程旨在增進學(xué)生固定收益證券的瞭解。本課程內(nèi)容包括債券的定價、收益率的衡量、債券市場分析、債券交易策略及不動產(chǎn)抵押證券。667028 Fixed-Income Security Analysis 3 G. G. Pan, FThe course is designed to provide students with understanding of fixed-income securities. The contents include bond pricing, yield measurements, bond market analysis, bond trading strategies and mortgage-backed securities.667029 證券市場專題3選洪仁杰、上本課程探討證券市場行為與管理,藉由著述之探討,對市場微結(jié)構(gòu)進行深入研究。667029Special Topics on Security Markets3 R. J. Hung, FThis course discusses the security market behavior and management. By using papers reading and discussing, students are expected to have deep insight and knowledge about market microstructure.667030財富管理專題3選黃鴻禧、上本課程旨在探討與財富管理相關(guān)之專題,內(nèi)容包括全球財富管理市場、資產(chǎn)配置、財富管理相關(guān)金融商品、風(fēng)險管理、稅務(wù)專題及理財人員職能與職業(yè)倫理等專題。667030 Special Topics on Wealth Management 3SH. H. Huang, FThis course aims to discuss the releted issues on wealth management. The contents include the global wealth management market, asset allocation, wealth management related financial commodities, risk management, taxes related issues and ethics issues, etc.667031 證券分析專題3選林坤輝、上本課程旨在探討證券分析相關(guān)議題。內(nèi)容包括有價證券價格決定理論、總體經(jīng)濟分析、產(chǎn)業(yè)分析、公司分析、技術(shù)分析、投資機會管理及風(fēng)險管理等議題。667031 Special Topics on Security Analysis3K. H. Lin, FThis course aims to discuss the related issues of security analysis. The contents include the price determining theories, macro ecnommy analysis, industry analysis, company analysis, technical analysis, portifolio manangment and risk management, etc.667032產(chǎn)業(yè)分析3選洪仁杰、下本課程旨在協(xié)助學(xué)生了解產(chǎn)業(yè)特性及競爭態(tài)勢,並教導(dǎo)學(xué)生產(chǎn)業(yè)分析的技巧,以從事產(chǎn)業(yè)研究及作為證券分析及投資政策之參考。667032Industry Analysis3 R. J. Hung, SThe course is designed to help students understand the industry framework, characters and the related competiveness. We also expect to provide students with the understanding of the analytic skills to conduct the industry analysis and to provide the fundamental for security analysis and compan
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