課程介紹
This course is deigned to provide a detailed understanding of the role of risky financial assets in the economy. Particular emphasis will be placed on the different types of investments, modern portfolio theory, market efficiency, equity valuation, and portfolio performance measurement.
教科書:

 Essentials of Investments”  by Zvi Bodie, Alex Kane, and Alan J. Marcus,  10E (2016),   Irwin/McGraw-Hill

教學進度:

Introduction and Financial Assets

                1.             Investment: Background and Issues                                       CH. 1

                2.             Asset Classes and Financial Instruments                               CH. 2

                3.             Securities Markets                                                                  CH. 3

                4.             Mutual Funds and Other Investment Companies                   CH. 4

        

Portfolio Theory   

                5.            Risk and Return                                                                       CH. 5

                6.             Efficient Diversification                                                         CH. 6

                7.            CAPM and APT                                                                      CH. 7

                8.             The Efficient Market Hypothesis                                           CH. 8

                9.             Behavioral Finance and Technical Analysis                          CH. 9

                                       

                                                          Midterm Exam

Debt Securities

                10. Bond Prices and Yields                                                          CH. 10

                11.  Managing Bond Portfolios                                                     CH. 11

                                    

Security Analysis

                12. Macroeconomic and Industry Analysis                                  CH. 12

                13. Equity Valuation                                                                     CH. 13

                14. Financial Statement Analysis                                                  CH. 14

 

 Derivative Markets

                15. Options Markets                                                                         CH. 15

                16. Options Valuation                                                                      CH. 16

                17. Futures Markets and Risk Management                                     CH. 17

 

Active Investment Management

                18.  Performance Evaluation and Active Portfolio Management      CH. 18

                19.International Investing                                                                  CH. 19

                20. Hedge Funds                                                                                 CH. 20

 

Final Exam

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