- Course Description
본 과목은 학생들이 금융시장의 기본적인 생태계를 이해하고, 어떻게 하면 손실을 최소화하여 국제금융투자를 성공적으로 실행시킬 수 있을지에 대해 세부적인 주제를 다루며 학습할 것입니다.
- Course Objectives
(1) To understand coding in Python and its application of Python to analyses of stock performance.
(2) To undertand Options and Option Valuation.
(3) To understand Long-term Asset and Liability Management for international firms
- Teachnig Method
None, except that you do come on time.
- Textbook
- Assessment
- Requiments
None.
- Practical application of the course
investment in stock and options
- Reference