本书是一本将金融学理论专业性与中国市场实践性结合的高校投资学专业教材。全书涵盖中国股票、债券、房地产、汇率、衍生品等重要的金融市场投资学内容。具体框架结构设计为:在股票市场部分,讲述股票市场的起源、中国股市的发展、科创板注册制改革的意义、几种常用的股票定价模型等;在债券市场部分,介绍债券市场的运行规律和定价机制、比较经典的定价理论、债券发行方的信用风险、各类理财产品的关系等;在房地产市场部分,分析房地产市场和房地产价格的特征、“房住不炒”和“因城施策”的必要性、房地产资产证券化市场的发展等;在汇率市场部分,讨论汇率短期和长期的决定理论、“一带一路”政策与人民币国际化的关系、我国汇率制度选择的科学性以及外汇管制的合理性等;在衍生证券市场部分,探讨期货合约、期权合约各自的概念,二者的相似之处和不同之点,以及二者的定价。
"synopsis" may belong to another edition of this title.
Seller: liu xing, Nanjing, JS, China
paperback. Condition: New. Paperback.Pub Date:2022-09 Pages:208 Language:Chinese Publisher:Shanghai University of Finance and Economics Press In Investment Principles and China's Financial Market. students will systematically learn about the stock market. bond market. derivative securities market. real estate market. exchange rate market and other aspects. In the stock market section. the book will first introduce the origin of the stock market to students. as well as the growth process of the establishment. developmen. Seller Inventory # DQ037808