摘要
21世纪市场经济条件下,经济金融全球化、金融及资产证券化趋势的持续快速发展,使得证券及证券市场在金融中的重要地位不断得到提升。生机勃勃的金融实践为证券投资学的发展提供了丰富的素材,同时提出了新的问题,如证券投资学的学科定位、教学内容的更新、师资力量的匮乏等。因此,我们必须对证券投资学的课程建设、教学方法与手段等重新进行设计与改造。
With the rapid continuous development of the tendency towards finance globalization and assets securitization, security and security markets become more and more important under the Market Economy in the 21st century. Vigorous financial practice provides plentiful materials. At the same time, it also brings about new problems to Security Portfolio course construction such as revising the subject target of Security Portfolio, renewing it's teaching contents, lacking in teachers. Therefore, we must redesign the curriculum and innovate the teaching methods.
出处
《广东教育学院学报》
2003年第4期65-69,共5页
Journal of Guangdong Education Institute