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金融数学专业实变函数教学方法探析 被引量:2

On the Teaching of Real Variable Functions for the Financial Mathematics Majors
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摘要 从肇庆学院金融数学专业学生的实际情况出发,结合讲授实变函数课程的实践经验,探讨了金融数学专业实变函数课程的教学方法,提出在教学中教师应注意加强实变函数与概率论、随机分析等后续课程的联系,尽量使教学内容生动形象,正确处理好涉及的各类定理及其证明,精心设计习题课,这样才能取得良好的教学效果. According to the situation of the students majored in finance mathematics in Zhaoqing univer- sity, combined with the author's pracl;ical experience of teaching the real variable function, a discussion of the teaching method was presented by the author who proposed that if teachers want to improve the teaching level / of the real variable function, they umst strengthen the contact of real variable functions with the follow-up courses: probability theory and stochastic analysis, etc. In order to achieve a good effect, teachers should try to make a vivid image, correctly handle the theorem concerned and its proof, and provide well-designed exer- cises for the classes in the teaching of the course.
作者 柏萌
出处 《肇庆学院学报》 2012年第2期25-27,共3页 Journal of Zhaoqing University
关键词 金融数学专业 实变函数 教学 finance mathematics major real variable functions teaching
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