On completion of this course, the student will be able to:
understand the characteristics of different financial assets, and apply portfolio theory in practice, covering asset allocation and international investment, portfolio risk management and risk-adjusted performance measurement
lean how to build and backtest trading strategies with programming softwares
develop a formal presentation of the research project and engage/answer questions in a discussion with peers and faculty.
具體成果或作品
每組學生進行 MBS 企業模擬經營,並對經營績效進行簡報
每位學生參與至少 1 次校外主辦之模擬交易競賽(包括但不限於外匯保證金及期權交易),並取得參賽證明
每位學生繳交至少 1 次英文論文專業簡報
每位學生進行至少 3 次 線上即時測評