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证券投资学
课程类型:选修课
主讲教师:舒家先
建议学分:0.00分
课程编码:xtzx2595
第一章 The Investment Environment
第二章 Asset Classes and Financial Instruments
s 2.1 The Money Market (15分钟)
s 2.2 The Bond Market (10分钟)
s 2.3 Equity Securities (8分钟)
s 2.4 Derivative Markets (11分钟)
第三章 Risk, Return, and the Historical Record
第四章 Capital Allocation to Risky Assets
s 4.1 Risk Aversion (14分钟)
第五章 Optimal Risky Portfolios
第六章 The Capital Asset Pricing Model
第七章 Arbitrage Pricing Theory and Multifactor Models of Risk and Return
第八章 The Efficient Market Hypothesis
第九章 Bond Prices and Yields
s 9.2 Bond Pricing (7分钟)
s 9.3 Bond Prices over Time (12分钟)
第十章 The Term Structure of Interest Rates
第十一章 Equity Valuation Models
第十三章 Financial Statement Analysis
s 13.2 Profitability Measures (12分钟)
s 13.3 Ratio Analysis (11分钟)
第十四章 Option Markets
s 14.1 The Option Contrcact (11分钟)
s 14.3 Option Strategies (9分钟)
s 14.4 Exotic Options (5分钟)
第十五章 Future Markets
s 15.1 The Futures Contract (6分钟)
s 15.2 Trading Mechanics (4分钟)