摘要
文章在对现代金融理论演化的简要综述基础上,探讨了证券投资学教学改革问题,研究指出:在课程教学过程中,既需要依托于现代金融理论演化的历史性进展,将其作为知识结构的理论基础,更需要引入具有理论支撑的且更加科学化的量化投资分析方法。由此,我们才能够正确把握证券投资学的教学改革方向,培养出更加卓越的量化投资人才。
The paper discusses the teaching reform of securities investment based on the brief review of the evolution of modem financial theory,and finds that:in the process of teaching,it needs to rely on the historical development of modem financial theory evolution,regard it as the theoretical basis of knowledge structure,and it is also necessary to introduce a more scientific quantitative investment analysis method with theoretical support.Therefore,we can correctly grasp the direction of teaching reform for securities investment,and cultivate more excellent talents of quantitative investment.
作者
付辉
FU Hui(School of Business,Jiangnan University,Wuxi,Jiangsu 214122,China)
出处
《金融教育研究》
2018年第2期74-80,共7页
Research of Finance and Education
基金
江南大学教改项目"依托优势学科的国贸特色专业建设与共享体系研究"(JG2015080)
关键词
现代金融理论
噪声交易
行为金融
分形市场假说
教学改革
the modem finance theory
noise trade
behavioral finance
fractal market hypothesis
teaching reform