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关于金融统计学本科教学方法的思考
引用本文:张家平.关于金融统计学本科教学方法的思考[J].经济研究导刊,2009(27):245-246.
作者姓名:张家平
作者单位:华侨大学商学院,泉州362021
摘    要:随着金融创新的不断加深,金融学与数学、尤其是统计学的结合越来越紧密,金融模型日趋复杂。具备良好的统计学理论基础和应用技能成为金融研究和实务的必备条件。分析了金融统计学在金融工程专业本科教学中存在的问题,提出改进教学方法的途径。

关 键 词:金融统计学  教学方法  改进

On Teaching Methodology of Financial Statistics
ZHANG Jia-ping.On Teaching Methodology of Financial Statistics[J].Economic Research Guide,2009(27):245-246.
Authors:ZHANG Jia-ping
Institution:ZHANG Jia-ping (Huaqiao University, school of commerce, Quanzhou 362021, China)
Abstract:With financial innovation deepening, the combination between finance and mathematics, especially statistics is much closer and financial statistical modeling much more complicated. Mastering statistics is a necessary condition to engage in financial research and practice. This paper analyses the questions in teaching financial statistics to students majoring in financial engineering and comes up with some improvement of teaching.
Keywords:financial statistics  teaching methodology  improvements
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