标题: 请教国际银行和金融专业的前辈 [打印本页] 作者: bjxiaoxiao 时间: 2003-5-11 18:57 标题: 请教国际银行和金融专业的前辈 我今年要去南安学习INTERNATIONAL BANKING AND FINANCIAL STUDIES有没有前辈告诉我应该在家看一些什么书啊?我虽然是学经济的,却已经忘记了很多了。还有没有什么国内可以买得到的原版书可以事先看一下?这个专业的数学要求高吗?多谢!作者: 人鱼不游泳 时间: 2003-5-12 01:17 Diploma/MSc in International Banking and Financial Studies
The global integration of financial markets has made it increasingly important for multinational companies, banks, fund managers, securities firms and corporate financial advisors to have a clear understanding of the theory and practice of international banking and finance. Familiarity with the latest innovative techniques in international lending and borrowing, asset and liability management and risk appraisal is also an essential requirement for all those involved in the global money and capital markets. With these needs in mind this full-time MSc programme aims to develop students' existing skills by advanced study in the areas of finance and banking, with particular emphasis on the international dimension. The ESRC recognised programme provides a coherent theoretical framework for the various subject areas, but the emphasis throughout is on the practical application of financial techniques in a real world setting. The programme is aimed at:
Those seeking or developing careers in banking or securities markets
Those working, or intending to work, in the finance divisi##被过滤## of multinational companies
Those wishing to establish a career in fund management or investment analysis
Accountants working with firms in the financial markets area
Managers in central banks and regulatory agencies concerned with financial market supervision
Teachers of finance, banking and related subjects.
bursaries
The Trustees of the Sir Edward Holden Educational Trust offer up to four bursaries to UK resident students that will be sufficient to cover UK tuition fees. Sir Edward Holden was a former Chairman of Midland Bank and was particularly interested in International Finance.
structure of programme
This programme c##被过滤##ists of a set of taught courses assessed by a mixture of course work and formal examinati##被过滤##. Following successful completion of the courses/modules and examinati##被过滤##, you become eligible for the award of the Diploma and are permitted to proceed to the next phase of the programme. Under the supervision of a member of staff you carry out original work in your chosen field of study, which is written up in the form of a Masters dissertation. Following successful examination of the dissertation you are awarded a Masters degree.
core courses
International Banking
Stock Markets and Equity Derivatives (or Institutional Asset Allocation)
Corporate Finance (1) and (2)
Finance Risk Management
opti##被过滤##
International Financial Policy
Derivative Securities Analysis
Quantitative Research in Finance
career opportunities
Southampton has an enviable record of producing high-calibre graduates who move quickly into good careers soon after finishing their studies.At the School of Management, many graduates go on to professional training in accountancy or finance. Others enter banking or management. The University has an excellent Careers Advisory Service available for your c##被过滤##ultation with many companies visiting the University every year on the milk round.
ESRC recognition
The Economic and Social Research Council (ESRC) has recognised this MSc programme as a Specialist Master's Programme.作者: 人鱼不游泳 时间: 2003-5-12 01:26
即便有书单的话,也很难在国内买到的……管理类专业的数学要求都不是特别高,基础的需要有一定的统计、概率知识……作者: samuel 时间: 2003-5-12 02:47
http://www.soton.ac.uk/~taiwan作者: 人鱼不游泳 时间: 2003-5-12 04:00
Book list for International Banking and Financial Studies/ International Financial Market
The books listed below are the textbooks for each course in 1999/ 2000 semester. However, this book list may be subject to the change of lectures next year. It is suggested to buy some of the books in Taiwan because they are quite expensive in UK.
International Banking (Professor Dale), for IBFS:
1. Multinational Business Finance (8th edition), David Eiteman, Arthur Stonehill and Michael Moffett, published by Addison Wesley, 1998
* The main textbook
2. Global Financial Markets, Ian Giddy, published by D C Heath
3. The international Money Market (2nd edition), Gunter Dufey and Ian Giddy, published by Prentice Hall
* It’s better to have one.
Asset Allocation (Professor Thomas), for IFM:
1. Bond Markets: Analysis and Strategies (4th edition), F. J. Fabozzi, published by Prentice Hall
* The main textbook
2. A random walk sown Wall Street, Burton G. Malkiel, published by Norton, 1996
3. Horrible numbers of articles for you to enjoy!
Portfolio Management (Professor Sutcliffe):
1. Corporate Finance (5th edition), Stephen A. Ross, Randolph W. Westerfield and Jeffery F. Jaffe, published by McGraw-Hill, 1999
* The main textbook
2. Modern Portfolio Theory and Investment Analysis (5th edition), Edwin J. Elton and Martin J. Gruber, published by John Wiley, 1995
3. Stock Index Futures: Theories and International Evidence (2nd edition), Charles Sutcliffe, published by Internaiotnal Thomson Business Press, 1997
* A book written by Professor Sutcliffe. Don’t buy it in Taiwan because it is too expensive. You can buy a cheaper one directly from the professor.
4. Opti##被过滤## (3rd edition), Robert W. Kolb, published by Blackwell Publishers Ltd., 1997
5. Financial Theory and Corporate Policy (3rd edition), Thomas E. Copeland and J. Fred Weston, published by Addison-Wesley, 1998
* Recommended by Professor Sutcliffe
Corporate Finance (Dr. Wolfe for 1, Dr. Gwilym for 2):
1. Principles of Corporate Finance (6th edition), Richard A. Brealey and Stewart C. Myers, published by McGraw-Hill, 2000
* The main textbook
2. Corporate Finance (5th edition), Stephen A. Ross, Randolph W. Westerfield and Jeffery F. Jaffe, published by McGraw-Hill, 1999
3. Financial Theory and Corporate Policy (3rd edition), Thomas E. Copeland and J. Fred Weston, published by Addison-Wesley, 1998
4. Modern Portfolio Theory and Investment Analysis (5th edition), Edwin J. Elton and Martin J. Gruber, published by John Wiley, 1995
Risk Management: the lecture will be changed next year.
International Financial Policy (optional) (Dr. Tafiq Choudhry):
1. International Finance and Open Economy Macroeconomics (2nd edition), F. Rivera-Batiz and L. Rivera-Batiz, published by Macmillan, 1994
* This book is out of print.
Derivatives Securities Analysis (optional): the lecture will be changed next year.
1. Opti##被过滤##, Futures, & other Derivatives (4th edition), John C. Hull, published by Prentice Hall, 2000
* It’s better to have one.
Quantitative Research in Finance (option): the lecture will be changed nest year.
1. Basic Econometrics (3rd edition), Damodar N. Gujarati, published by McGraw-Hill, 1995
2. The Econometrics of Financial Markets, John Y. Campbell, Andrew W. Lo and A. Craig Mackinlay, published by Princeton University Press, 1997
http://www.soton.ac.uk/~taiwan/book01.htm作者: zclord 时间: 2003-5-12 05:03
我也想去学那专业。bjxiaoxiao 你怎么申请的啊作者: samuel 时间: 2003-5-12 07:20
其中我在外文书店见过下面这两本:
Bond Markets: Analysis and Strategies (4th edition), F. J. Fabozzi, published by Prentice Hall (RMB 240)
Opti##被过滤##, Futures, & other Derivatives (4th edition), John C. Hull, published by Prentice Hall, 2000 (RMB118)作者: bjxiaoxiao 时间: 2003-5-12 18:13
斑竹,那有没有什么比较好的中文教科书可以先看一下啊?或者是什么类型的?我原来不是学习金融的,对金融确实是不太懂的。总是害怕跟不上。
还有怎么在TAIWAN买教科书啊?
zclord,就填写申请表寄到学校就可以了,告诉他们你想学习的专业,作者: zclord 时间: 2003-5-12 22:55
怎么联系你啊?我想仔细问问你啊!作者: bjxiaoxiao 时间: 2003-5-12 23:33
给我发邮件就可以了。bjxiaoxiao@hotmail.com作者: samuel 时间: 2003-5-13 03:34
作者: samuel 时间: 2003-5-16 05:59
在国内能买到的IBFS/IFM部分教材
Book list for International Banking and Financial Studies/ International Financial Market
International Banking (Professor Dale), for IBFS:(三本书都没找到)
1. Multinational Business Finance (8th edition), David Eiteman, Arthur Stonehill and Michael Moffett, published by Addison Wesley, 1998
* The main textbook
2. Global Financial Markets, Ian Giddy, published by D C Heath
3. The international Money Market (2nd edition), Gunter Dufey and Ian Giddy, published by Prentice Hall
* It’s better to have one.
Asset Allocation (Professor Thomas), for IFM:
1. Bond Markets: Analysis and Strategies (4th edition), F. J. Fabozzi, published by Prentice Hall
债券市场:分析与策略(中译版,第四版)
页码: 738页
定价: 78元
出版单位:百家出版社(上海证券报总策划)
地址:上海天钥桥路180弄2号 邮编:200030
电话:64380126、64810655 (总机) 传真:64380126
网址:http://www.baijia.sh.cn
E-mailffice@baijia.sh.cn
道明诚教育 电话(021)6451-5526 6484-7608
2. A random walk sown Wall Street, Burton G. Malkiel, published by Norton, 1996
漫步华尔街
页数:472页
ISBN:957-621-328-2
定价:40元
出版公司:上海财经大学出版社 电话:021-65904705、021-65361973
2. Modern Portfolio Theory and Investment Analysis (5th edition), Edwin J. Elton and Martin J. Gruber, published by John Wiley, 1995
3. Stock Index Futures: Theories and International Evidence (2nd edition), Charles Sutcliffe, published by Internaiotnal Thomson Business Press, 1997
* A book written by Professor Sutcliffe. Don’t buy it in Taiwan because it is too expensive. You can buy a cheaper one directly from the professor.
4. Opti##被过滤## (3rd edition), Robert W. Kolb, published by Blackwell Publishers Ltd., 1997
5. Financial Theory and Corporate Policy (3rd edition), Thomas E. Copeland and J. Fred Weston, published by Addison-Wesley, 1998
* Recommended by Professor Sutcliffe
注:2-5找不到
Corporate Finance (Dr. Wolfe for 1, Dr. Gwilym for 2):
1. Principles of Corporate Finance (6th edition), Richard A. Brealey and Stewart C. Myers, published by McGraw-Hill, 2000
中文书名:公司财务原理
原著作者:(美)理查德·A·布雷利(Richard A. Brealey) (美)斯图尔特·C·迈尔斯(Stewart C. Myers)
国际标准图书编号:7-111-09873
定价:¥112.00
出版社: 机械工业出版社 电话:(010)68990188
2. Corporate Finance (5th edition), Stephen A. Ross, Randolph W. Westerfield and Jeffery F. Jaffe, published by McGraw-Hill, 1999
3. Financial Theory and Corporate Policy (3rd edition), Thomas E. Copeland and J. Fred Weston, published by Addison-Wesley, 1998
4. Modern Portfolio Theory and Investment Analysis (5th edition), Edwin J. Elton and Martin J. Gruber, published by John Wiley, 1995
注:3-4找不到
Risk Management: the lecture will be changed next year.
International Financial Policy (optional) (Dr. Tafiq Choudhry):
1.International Finance and Open Economy Macroeconomics (2nd edition), F. Rivera-Batiz and L. Rivera-Batiz, published by Macmillan, 1994
* This book is out of print. 没找到
Derivatives Securities Analysis (optional): the lecture will be changed next year.
1. Opti##被过滤##, Futures, & other Derivatives (4th edition), John C. Hull, published by Prentice Hall
页码: 698页
书后定价: ¥64元
出版单位: 清华大学出版社
注:John C. Hull的期货期权入门(第三版)可以作为入门教材。