Course List
 Course Name  Fixed-income Securities
 Periods  1  Target Students  1  Credit(s)  3  Group  01
 Course Outline  This course includes four issues
1. illustrate and price the fixed income security
2. Asset securitization
3. structured products
4. interest rate derivatives and risk managemenet
 Course Name  International Finance
 Periods  1  Target Students  1  Credit(s)  3  Group  01
 Course Outline  international finance theory and empirical analysis
 Course Name  Introduction and Information Topic Discussion
 Periods  1  Target Students  1  Credit(s)  3  Group  01
 Course Outline  Learn IT and apply in financial area
 Course Name  Research Methodologies in Finance
 Periods  1  Target Students  1  Credit(s)  3  Group  01
 Course Outline  The course focus on the implementation details of financial empirical studies. The contents inclue price dynamics in financial markets, the trade=off of return and risk, market volatlity and value at risk estimation.
 Course Name  Securities Investment and Asset Allocation
 Periods  1  Target Students  1  Credit(s)  3  Group  01
 Course Outline  Securities Investment and Asset Allocation
 Course Name  Financial Derivatives
 Periods  2  Target Students  1  Credit(s)  3  Group  01
 Course Outline  financial derivative
 Course Name  Financial Risk Management
 Periods  2  Target Students  1  Credit(s)  3  Group  01
 Course Outline  一. Introduction
1. Banking business Lines
2. Banking Risks
3. Risk Management Processes
4. Risk Management Organization
5. Banking Regulations
二. Risk Model
1. Risk Measures
2. Var and Capital
3. Valuation
4. FTP
5. Risk Model Building Blocks
三. Value-at-Risk
1. The Three Common Approaches for calculating value at risk
2. Value-at-Risk for Portfolio
3. Testing VaR
四. ALM & Interest Risk
1. Static Gap Model and Simulations
2. Interest Rate Model
3. Implicit Options Risk
4. Duration and NPV of Balance Sheet
五. Market Risk
1. Standalone Market Risk
2. Portfolio Market Risk
六. Credit Risk
1. Introduction of Credit Risk
2. Credit Risk: “Standalone Risk”
3. Credit Risk: “Portfolio Risk”
七. Capital Allocation &Risk Adjusted Performance
1. Capital Allocation and Risk contributions
2. Risk-adjusted Performance
3. Portfolio and Capital Management
 Course Name  International Financial Management
 Periods  2  Target Students  1  Credit(s)  3  Group  01
 Course Outline  understanding the importance of exchange rate in the international market
 Course Name  Risk Management & Insurance Topics
 Periods  2  Target Students  1  Credit(s)  3  Group  01
 Course Outline  1.The current state and future prospects of the insurance market in Taiwan and other countries
2.Risk Management
3 Insurance Planning
4 Introduction to Actuarial
5 Pension Management
6. Research papers
7 Final Report
 Course Name  Small Business Financial Consultant
 Periods  2  Target Students  1  Credit(s)  3  Group  01
 Course Outline  1. Business models: Manufacturing, Services, Merchandising. 2. Industrial analysis. 3. Business internal diagnostics. 4. Financial diagnostics. 5. Strategic analysis: SWOT. 6. Business issues counseling case. 7. SBIR project writing.
 Course Name  Theory and Empirical Evidence of Investment
 Periods  2  Target Students  1  Credit(s)  3  Group  01
 Course Outline  The aim of this course is to introduce the basic concepts in stock markets, which inclue
1. Portfolio management
2. Risk and return of stocks
3. Stock valuation
4. Fundamental analysis and technical analysis in stock timing and selection
5. Mutual Funds and performance measurement
 Course Name  Seminar (1)
 Periods  1  Target Students  2  Credit(s)  3  Group  01
 Course Outline  Topics in Finance
 Course Name  Seminar (2)
 Periods  1  Target Students  2  Credit(s)  3  Group  01
 Course Outline  Topics in Finance
 Course Name  Master Thesis
 Periods  2  Target Students  2  Credit(s)  6  Group  01
 Course Outline