課程目標 |
以投資學基本觀念,了解投資工具及投資市場的理論根據並說明金融市場與金融機構如何隨著投資人的需求、技術及限制條件而轉變,並據以預測整體投資環境的情況。 |
Objectives |
Using common sense to introduction financial markets and institutions envolve in response to the desires,technologies, and regulatory constrains of the investors in the economy. In fact,we could predict the general shape of the investment environment. |
教學內容 |
本課程將包含金融市場與金融商品的介紹,同時包括股票與債券的評價,投資組合的概念以及投資組合的建構和投資組合的績效評估. |
Syllabus |
This course would includes the introduction of important concepts as followings:(1) Financial markets and instruments, (2) stock pricing and bond pricing, (3) portfolio and diversification, (4) portfolio construction and performance measurement. |