- 1、本文档共747页,可阅读全部内容。
- 2、原创力文档(book118)网站文档一经付费(服务费),不意味着购买了该文档的版权,仅供个人/单位学习、研究之用,不得用于商业用途,未经授权,严禁复制、发行、汇编、翻译或者网络传播等,侵权必究。
- 3、本站所有内容均由合作方或网友上传,本站不对文档的完整性、权威性及其观点立场正确性做任何保证或承诺!文档内容仅供研究参考,付费前请自行鉴别。如您付费,意味着您自己接受本站规则且自行承担风险,本站不退款、不进行额外附加服务;查看《如何避免下载的几个坑》。如果您已付费下载过本站文档,您可以点击 这里二次下载。
- 4、如文档侵犯商业秘密、侵犯著作权、侵犯人身权等,请点击“版权申诉”(推荐),也可以打举报电话:400-050-0827(电话支持时间:9:00-18:30)。
查看更多
本科生证券投资学课件.ppt
证券投资学 这门课能给我们带来什么? 这门课所属的位置 这门课的主要内容 Why do we study the theory? Managers learn from experience how to cope with routine problems. But the best manager are also able to respond to change. To do this you need more than time-honored rules of thumb; you must understand why companies and financial markets behave the way they do. In other words, you need a theory of finance.……Good theory helps you grasp what is going on in the world around you. It helps you to ask the right questions when times change and new problems must be analyzed. It also tells you what things you do not need to worry about.---------Brealey and Myers Why does not there exists any advice on “guaranteed” ways to beat the market? Any system designed to beat the market, once known to more than a few people, carries the seeds of its own destruction. There are two reasons for not including advice on “guaranteed” ways to beat the market in this book. First, to do so would make a successful system public and hence unsuccessful. Second, the authors know of such system. This does not mean that financial analysis is useless. Although individuals should be skeptical when others tell them how to use financial analysis to beat the market, individuals can try to understand the market with the use of financial analysis.-------------------W. Sharpe, etc. 什么是金融学(Finance) Finance is a subfield of economics distinguished by both its focus and its methodology. The primary focus of finance is the workings of the capital markets and the supply and the pricing of capital assets. The methodology of finance is the use of close substitutes to price financial contracts and instruments. This methodology is applied to value instruments whose characteristics extend across time and whose payoffs depend upon the resolution of uncertainty. 金融学的研究领域 金融市场 宏观层面:金融框架 微观层面:定价、风险管理 公司财务 历史 H. M. Markowitz 均值-方差模型 (Mean-variance model) Harry M. Markowitz, Portfolio Selection, Journal of Finance, 7(1):77-91, 1952. W. F. Sharpe , J. Lint
您可能关注的文档
- 奥美的品牌管理策略蓝图-上海奥美广告公司.doc
- 奥美基础训练营-华鹤品牌定位.ppt
- 百货超市开发策划书.doc
- 班长如何做好生产线之管理工作.doc
- 板城烧锅酒广告策划书.doc
- 保安项目投标文件.doc
- 保洁投标书.doc
- 保险行业年终工作总结.doc
- 北辰绿色家园--拂林园推广方案.PPT
- 北京广播学院教授黄升民-营销战略的策定与区域媒体选择培训.ppt
- 2024-2030年峰值流量计行业市场现状供需分析及重点企业投资评估规划分析研究报告.docx
- 2024-2030年己酸羟孕酮注射液行业市场现状供需分析及重点企业投资评估规划分析研究报告.docx
- 2024-2030年手机行业市场发展分析及发展趋势前景预测报告.docx
- 2024-2030年抗菌包装行业市场现状供需分析及重点企业投资评估规划分析研究报告.docx
- 2024-2030年摄影器材市场发展现状分析及行业投资战略研究报告.docx
- 2024-2030年实木床架行业市场发展分析及发展趋势前景预测报告.docx
- 2024-2030年头发结合倍增器行业市场现状供需分析及重点企业投资评估规划分析研究报告.docx
- 2024-2030年小型水力发电行业市场现状供需分析及重点企业投资评估规划分析研究报告.docx
- 2024-2030年工业机器人行业市场深度分析及竞争格局与投资价值研究报告.docx
- 2024-2030年小微金融行业市场发展分析及投资前景研究报告.docx
文档评论(0)