一、課程說明(Course Description)

This course is to describe general design principles, pricing, and risk
management
for financial product


二、指定用書(Text Books)
三、參考書籍(References)

李存修, 金融創新與操作策略, 商周文化
Tufano, P., 2002, Financial Innovation, working paper, Harvard Business
School.
Hull, J., Options, Future, and Other Derivatives, 6th Edition, 雙葉書局

四、教學方式(Teaching Method)

lecture and seminar

五、教學進度(Syllabus)

金融市場之發展
債券市場之創新
金融期貨
選擇權
利率相關金融商品
匯率相關金融商品
其他新金融商品
證券投資組合操作策略
金融資產證券化


六、成績考核(Evaluation)

The final grade is based on a Final project (60%) and Coursework (40%)
Grade is given based on a written report and an in-class presentation. The
coursework is composed by a few assignments