Financial Market Science

Author: Du Jinfu
Publisher:
Publish Date: 2001-10-01
Features: The study of financial markets is divided into two categories in terms of teaching methods: one focuses on quantitative aspects, such as how to calculate risk, return, and most foreign textbooks emphasize this aspect. The other focuses on qualitative aspects, such as the nature, role, and operational procedures of financial markets, and most domestic textbooks emphasize this aspect. This textbook integrates both aspects. In addition to introducing the quantitative knowledge involved in financial markets, such as the calculation of interest rates, risk, and return, it also combines quantitative calculations with the content of various financial markets when introducing them.

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