摘要
为构建更适合本经济区域的高职金融保险专业教学模式,保障本经济区域高职金融保险专业人才培养目标的顺利实现,采用总结归纳法、比较分析法等对高职金融保险专业教学模式构建的相关文献进行了综述,并得出结论:这些相关文献均采用了不同的指标,分别构建出了高职金融保险专业教学模式,呈现出以培养学生实践能力为中心,各种路径相辅相成的教学模式格局。但其中也存在一些不足,如指标选取不够全面,未构建出专门针对高职金融保险专业教学模式的具体评价体系,不太重视教学方法的创新,等等。这些问题将成为未来研究的方向。
To build the teaching mode of higher vocational financial insurance major more suitable for the local economic region, safeguard the smooth realization of the talent cultivation goal, it adopts inductive method, comparative analysis method to review the relevant literature about the teaching mode construction, and comes to the conclusion: these relevant literature all adopts different indexes to construct the teaching mode of higher vocational financial insurance major, and presents the layout with the center of training student practical ability, and various paths complementing each other. Yet some shortcomings also exist: the index selection is not comprehensive, it fails to build a specific evaluation system, and it doesn't attach much importance to the innovation of teaching methods, etc. These problems will become the direction of future research.
出处
《辽宁高职学报》
2015年第5期44-46,共3页
Journal of Liaoning Higher Vocational
基金
大连市职业技术教育科学研究院2014年度课题(一般课题)(DZKY2014012)
关键词
高职教育
金融保险专业
教学模式构建
文献综述
higher vocational education
financial insurance major
teaching mode construction
literature review