課程資訊
課程名稱
風險管理
Risk Management 
開課學期
103-1 
授課對象
管理學院  會計學研究所  
授課教師
曾郁仁 
課號
Fin7017 
課程識別碼
723 M1800 
班次
 
學分
全/半年
半年 
必/選修
選修 
上課時間
星期五2,3,4(9:10~12:10) 
上課地點
管二301 
備註
財金所學生勿修。
限碩士班以上 且 限本系所學生(含輔系、雙修生)
總人數上限:45人 
 
課程簡介影片
 
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課程概述

This course is aimed to provide an introduction to derivatives, in particular to futures and options, and their applications in risk management. Not only the products but also their markets will be covered with details. If time is allowed, swaps will also be covered. The sequence of topics will be options, futures and forward, and then swaps. 

課程目標
After completing the course students should:
Understand the general ideas and concepts of futures and options contracts,
Be familiar with the market practices of futures and options markets,
Be clear about the roles of derivatives in risk management, and
Be able to implement various trading and hedging strategies with futures and options.
 
課程要求
Midterm: 40%. Final: 50%. Participation: 10%. 
預期每週課後學習時數
 
Office Hours
 
指定閱讀
 
參考書目
NA 
評量方式
(僅供參考)
   
課程進度
週次
日期
單元主題
無資料