| Relevance of Course Objectives and Core Learning Outcomes(%) |
Teaching and Assessment Methods for Course Objectives |
| Course Objectives |
Competency Indicators |
Ratio(%) |
Teaching Methods |
Assessment Methods |
| 讓學生了解金融市場的基本運作原理,培養學生分析金融市場相關議題的背景知識與思考模式。 |
| 2.Professional Knowledge with Applications |
| 5.Global Awareness |
| 8.Cooperation and Coordination |
|
|
| topic Discussion / Production |
| Discussion |
| Lecturing |
|
| Written Presentation |
| Attendance |
| Oral Presentation |
|
| Course Content and Homework/Schedule/Tests Schedule |
| Week |
Course Content |
| Week 1 |
Course overview |
| Week 2 |
Introduction of financial markets |
| Week 3 |
The financial system
|
| Week 4 |
Theory of financial structure |
| Week 5 |
Introduction of bank management |
| Week 6 |
Risk management in financial institutions (I) |
| Week 7 |
Risk management in financial institutions (II) |
| Week 8 |
The behavior of interest rates |
| Week 9 |
The risk and term structure of interest rates |
| Week 10 |
Mid-term exam |
| Week 11 |
Banking regulations |
| Week 12 |
Nonbank financial institutions |
| Week 13 |
Bond markets |
| Week 14 |
Stock markets |
| Week 15 |
Options and futures markets |
| Week 16 |
Foreign exchange markets
|
self-directed learning |
   03.Preparing presentations or reports related to industry and academia.
|
|
| Evaluation |
In-class participation 30%
Mid-term exam 30%
Case and term paper 40% |
| Textbook & other References |
1. Textbook: Mishkin, Frederic S. and Stanley G. Eakins, Financial Markets and Institutions, Tenth edition, Pearson, 2021.
|
| Teaching Aids & Teacher's Website |
|
| Office Hours |
週二及週四 16-17 點
|
| Sustainable Development Goals, SDGs(Link URL) |
| 08.Decent Work and Economic Growth | include experience courses:N |
|