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Bibliography of master's degree in finance of Jinan University
The master's bibliography of finance in Jinan University includes "College Planning Textbook: Finance", "Financial Market Investment and Financing Analysis" and "Financial Risk Management".

1, College Planning Textbook: Finance.

College Planning Textbook: Finance is edited by Li Jiangtao and published by Economic Science Press. "College Planning Textbook: Finance" consists of thirteen chapters, including money and monetary system, credit and credit tools, mathematical basis of finance, interest rate and term structure of interest rate, etc. The teaching purpose of "College Planning Textbook: Finance" is to make students have a comprehensive and profound understanding of the basic knowledge, concepts and theories of finance.

Have a comprehensive and systematic grasp of money, credit, financial institutions, financial markets, international finance, financial macro-control and supervision. , so as to improve students' comprehensive quality of social science. Adhere to the integration of theory with practice, strive for innovation, and form its own characteristics: the integration of structural framework; Simplicity of content system: advancement of course content; Applicability of different majors; Practicality of writing style.

2. Financial market investment and financing analysis.

Analysis of Investment and Financing in Financial Market is a book published by Fudan University Press in 2006, written by CoCo Lee. "Financial Market Investment and Financing Analysis" is suitable for the courses of financial marketing and securities investment analysis for financial majors. On the basis of understanding the traditional asset pricing theory, how to combine basic analysis with technical analysis to enrich the practice of securities investment and financing. According to the law of market movement trend, compare the economic growth rate and the opportunities brought by currency appreciation and depreciation in various countries.

Select the market that can obtain excess returns in the global market for investment and financing activities. This paper introduces the respective characteristics and advantages of mutual funds and hedge funds active in the financial market, analyzes the investment strategies of individual investors and institutional investors, broadens investors' horizons of rational investment or speculation, and adopts scientific methods to choose securities replacement or portfolio investment strategies. It is not only suitable for teachers and students majoring in finance and economics, business administration, etc. It is also suitable for investors who are active in the financial market.

3. Financial risk management.

Financial Risk Management is a book published by Fudan University Press in July 2007. The author is Lu. This book summarizes the development of China's risk management system and the changes of financial risk management mode in the past 20 years, and points out the weak links and problems to be solved urgently in financial prevention. Specifically, the risks existing in various industries in China's financial field, including securities, banking, insurance and fund industry, are deeply analyzed and demonstrated.

Drawing lessons from the Asian financial turmoil and the experience and lessons of risk management at home and abroad, a large number of case studies are carried out to present all kinds of risks to readers, so that readers have a clear direction for understanding and preventing risks. This book is suitable for theoretical researchers and practitioners of finance, securities and funds, as well as teachers and students majoring in economics and finance in colleges and universities.