摘要
风险管理作为一门新兴的管理科学,在企业和政府管理中得到较高的重视和广泛运用.从学院实际出发,结合课程教学现状,紧紧围绕"应用型人才"的培养目标,结合对其他高校的调研,从教学体系、教学方法及教学手段等方面探讨了该课程的教学及实践现状.针对目前课程教学存在的不足,为了使课程内容更加丰富,提出了一系列风险管理课程体系构建与教学实施的具体举措.
As a new management discipline, risk management has been highly valued and widely applied in business and government management. This article, from the school reality, focuses on the goal of training applied talents, through the investigation of other col- leges and universities, discusses the teaching and practice from the aspects of establishing the teaching system, teaching methods and teaching methods. In allusion to existing problems of present teaching, several countermeasures are put forward on the construction of risk inanagement curriculum system and teaching practice so as to make the course content rich.
作者
王翀
李孝诚
安佰玲
WANG Chong;LI Xiaocheng;AN Bailing(School of Mathematical Sciences,Huaibei Normal University,Huaibei Anhui 235000,China)
出处
《长沙大学学报》
2018年第5期116-118,共3页
Journal of Changsha University
基金
安徽省教育厅质量工程基金项目(批准号:2015jyxm159)
安徽省教育厅质量工程基金项目(批准号:2016JYXM0927)
淮北师范大学教学教研重点项目(批准号:jy15105
jy15125)
安徽省人事厅高等学校省级优秀青年人才基金项目(批准号:2009SQRZ085)
关键词
金融数学
风险管理
课程构建
financial mathematics
risk management
curriculum construction