《金融学基础(第2版)》属于高职高专院校经济学类核心课程教材,也是金融学专业主干课程教材。全书共10章,包括货币与货币制度,信用与资金融通,金融机构与体系,金融市场,保险,信托与租赁业,货币供求与均衡,通货膨胀与通货紧缩,货币政策,国际金融以及金融危机等内容。
这是金融学最基础的原理。
金融学理论建立在,并且很多经济学的都是建立在,人们希望能使自己对,财富的期望效用最大化这一基础上。
What finance theory is based on — and much of economics is based on — the idea that people want to maximize the expected utility of their wealth.
课程开始的时候会涉及一些理论,我认为这些理论,是风险管理最基本的概念,也是金融学中最基础的概念。
I still want to start with some theory and I thought that — well I will — I plan to start by talking about the most basic concepts of risk management, which underlie finance.
I still want to start with some theory and I thought that--well I will--I plan to start by talking about the most basic concepts of risk management, which underlie finance.
课程开始的时候会涉及一些理论,我认为这些理论,是风险管理最基本的概念,也是金融学中最基础的概念
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