Specialness and Risks of Banks 银行的特殊性与风险
主讲教师:Nan Li
第1期
| 学校: | 上海交通大学 |
| 开课院系: | 上海高级金融学院 |
| 专业大类: | 经济学 |
| 开课专业: | 金融学 |
| 课程英文名称: | Bank Management |
| 学分: | 2 |
| 课时: | 32 |
本课程面向国内外本科生、硕士生和MBA, 全英文讲授,理论结合案例分析。学生在完成本课程的学习后,不仅能理解金融中介在经济中的特殊而重要的作用,中国金融体系的最新发展动态与金融监管的变革,商业银行等金融机构在不断变化的国际经济环境中面临的风险和挑战;而且能掌握并灵活运用金融经济学和计量经济学的基本原理和分析方法,量化和科学管理商业银行等金融机构面临的信用风险、利率风险、市场风险、流动性风险等各种风险。
| 课程章节 | | 文件类型 | | 修改时间 | | 大小 | | 备注 | |
| 1.1 What is a bank? 银行是什么? |
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2024-04-03 | 113.67MB | ||
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2024-04-03 | 122.89MB | |||
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2024-04-03 | 132.20MB | |||
| 1.2 Power of Diversification 分散风险的重要性 |
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2023-09-16 | 137.80MB | ||
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2023-09-16 | 100.20MB | |||
| 1.3 Risks of banks 银行面临的风险 |
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2023-09-16 | 117.65MB | ||
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2023-09-16 | 123.52MB | |||
| 2.1 Regulation of the Banking Industry 银行业的监管 |
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2024-04-03 | 173.47MB | ||
| 2.2 Organization and Structure of the Banking Industry in the U.S. 美国银行业的组织结构 |
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2024-04-03 | 87.40MB | ||
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2024-04-03 | 133.67MB | |||
| 2.3 Organization and Structure of the Banking Industry in China 中国银行业的组织结构 |
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2020-02-14 | 121.82MB | ||
| 2.4 Changing Dynamics of Banking Industry 银行业的动态变化 |
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2020-02-14 | 160.56MB | ||
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2020-02-14 | 170.58MB | |||
| 3.1 Money and Money Supply 货币与货币供给 |
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2024-04-03 | 1.32GB | ||
| 3.1.1 Digital RMB and Cryptocurrency |
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2024-04-03 | 376.78MB | ||
| 3.2 Monetary Policy in the U.S. vs China 中美货币政策对比 |
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2024-04-03 | 1.20GB | ||
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2024-04-03 | 1.39GB | |||
| 3.3 Interest Rate and Monetary Policy 利率与货币政策 |
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2024-04-03 | 591.20MB | ||
| 4.1 Introduction 利率风险简介 |
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2024-04-03 | 187.70MB | ||
| 4.2 Repricing Gap Model 再定价模型 |
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2024-04-03 | 181.20MB | ||
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2024-04-03 | 153.83MB | |||
| 4.3 Bond Valuation, YTM and Yield Curve 债券定价,到期收益率与利率期限结构 |
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2024-04-03 | 134.43MB | ||
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2024-04-03 | 96.18MB | |||
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2024-04-03 | 99.09MB | |||
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2024-04-03 | 70.36MB | |||
| 4.4 Duration Model 久期模型 |
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2021-02-19 | 165.69MB | ||
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2021-02-19 | 133.62MB | |||
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2021-02-19 | 101.65MB | |||
| 5.1 Introduction 市场风险简介 |
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2020-02-14 | 411.84MB | ||
| 5.2 Market Risk of Fixed-Income Securities 固定收益资产市场风险 |
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2024-04-03 | 129.28MB | ||
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2024-04-03 | 282.52MB | |||
| 5.3 Market Risk Aggregation and Market Risk of Foreign Exchange and Equity 外汇、股票的市场风险及风险加总 |
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2020-02-16 | 134.88MB | ||
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2020-02-16 | 207.05MB | |||
| 6.1 Introduction to Credit Risk 信用风险简介 |
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2020-02-14 | 114.89MB | ||
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2020-02-14 | 389.09MB | |||
| 6.2 Return on a Loan 贷款的收益率 |
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2024-04-03 | 101.00MB | ||
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2024-04-03 | 271.45MB | |||
| 6.3 Credit Risk of Individual Loan 单笔贷款信用风险 |
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2024-04-03 | 181.87MB | ||
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2024-04-03 | 135.28MB | |||
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2024-04-03 | 102.30MB | |||
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2024-04-03 | 167.66MB | |||
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2024-04-03 | 116.51MB | |||
| 6.4 Credit Risk of Loan Portfolio 贷款组合的信用风险 |
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2024-04-03 | 105.17MB | ||
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2024-04-03 | 116.27MB | |||
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2024-04-03 | 306.88MB |