《耶鲁大学开放课程:金融市场》(Open Yale course:Financial Markets )高清版/更新至第6课:有效市场过度波动主场迎战[MOV]
中文名: 耶鲁大学开放课程:金融市场
英文名: Open Yale course:Financial Markets
版本: 高清版/更新至第6课:有效市场过度波动主场迎战[MOV]
发行时间: 2010年4月
地区: 美国
对白语言: 英语
文字语言: 英文
简介:

COME ON 速度加起来!
课程类型:金融
课程介绍:
金融机构是一个文明社会的支柱,支持企业在其生产和管理的人,他们承担经济风险。这些机构的运作非常重要,如果我们要理解他们今天的行为,并预测在未来的信息时代的演变。该课程致力于提供金融的理论和历史的关系的认识,优点和银行,保险等机构不完善,证券,期货和其他衍生产品市场,以及这些机构的未来,在未来的世纪。
About the Course
Financial institutions are a pillar of civilized society, supporting people in their productive ventures and managing the economic risks they take on. The workings of these institutions are important to comprehend if we are to predict their actions today and their evolution in the coming information age. The course strives to offer understanding of the theory of finance and its relation to the history, strengths and imperfections of such institutions as banking, insurance, securities, futures, and other derivatives markets, and the future of these institutions over the next century
课程结构:
这耶鲁大学课程,每周上两次校园讲授75分钟,打开录得2008年春季耶鲁课程。
Course Structure:
This Yale College course, taught on campus twice per week for 75 minutes, was recorded for Open Yale Courses in Spring 2008.
关于教授罗伯特希勒

Robert J. Shiller是阿瑟米奥肯经济学教授在耶鲁大学和国际金融中心一研究员在耶鲁大学管理学院。专业从事行为金融,房地产,希勒教授在金融经济学,美国经济评论,金融杂志期刊上发表,华尔街日报和金融时报。著作包括市场的波动,宏观市场(为此他赢得了那么TIAA - CREF的保罗萨缪尔森答奖),非理性繁荣和金融新秩序:二十一世纪的风险。
About Professor Robert Shiller
Robert J. Shiller is Arthur M. Okun Professor of Economics at Yale University and a Fellow at the International Center for Finance at the Yale School of Management. Specializing in behavioral finance and real estate, Professor Shiller has published in Journal of Financial Economics, American Economic Review, Journal of Finance, Wall Street Journal, and Financial Times. His books include Market Volatility, Macro Markets (for which he won the TIAA-CREF's Paul A. Samuelson Award), Irrational Exuberance, and The New Financial Order: Risk in the Twenty-First Century.
课程目录:
1.金融及保险业在我国经济和社会的强大力量
2.风险管理的普遍原则:池和套期保值的风险
3.金融技术和发明
4.投资组合多样化和支持(CAPM模型金融机构)
5.保险:风险管理制度的原型
6.有效市场过度波动主场迎战
7.行为金融:心理学中的作用
8.人类的弱点,欺诈,操纵,与规制
9.客座演讲的大卫斯文森
10.债务市场:期限结构
11.股票
12.房地产金融危机及其脆弱性
13.银行业:成功与失败
14.客户由安德鲁演讲雷德利夫
15.客座演讲由卡尔伊卡恩
16.的演进与货币政策的完善
17.投资银行业务及二手市场
18.专业资金经理及其影响
19.经纪,电子通讯网路等
20.客座演讲黑石
21.远期及期货
22.股票指数,石油等期货市场
23.期权市场
24.为使真正的人的工作:金融民主化
25.学习和应付金融危机,第一部分(由劳伦斯萨默斯演讲客户)
26.学习和应付金融危机,第二部分(由劳伦斯萨默斯演讲客户)
Class Sessions:
1. Finance and Insurance as Powerful Forces in Our Economy and Society
2. The Universal Principle of Risk Management: Pooling and the Hedging of Risks
3. Technology and Invention in Finance
4. Portfolio Diversification and Supporting Financial Institutions (CAPM Model)
5. Insurance: The Archetypal Risk Management Institution
6. Efficient Markets vs. Excess Volatility
7. Behavioral Finance: The Role of Psychology
8. Human Foibles, Fraud, Manipulation, and Regulation
9. Guest Lecture by David Swensen
10. Debt Markets: Term Structure
11. Stocks
12. Real Estate Finance and Its Vulnerability to Crisis
13. Banking: Successes and Failures
14. Guest Lecture by Andrew Redleaf
15. Guest Lecture by Carl Icahn
16. The Evolution and Perfection of Monetary Policy
17. Investment Banking and Secondary Markets
18. Professional Money Managers and Their Influence
19. Brokerage, ECNs, etc.
20. Guest Lecture by Stephen Schwarzman
21. Forwards and Futures
22. Stock Index, Oil and Other Futures Markets
23. Options Markets
24. Making It Work for Real People: The Democratization of Finance
25. Learning from and Responding to Financial Crisis, Part I (Guest Lecture by Lawrence Summers)
26. Learning from and Responding to Financial Crisis, Part II (Guest Lecture by Lawrence Summers)
Final Exam
视频截图:



同志们 11一点我们学校就断电了 除非周五周六是12点 所以 告知一下大家 本人早上大概八点左右开机 晚上十一点准时关机
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