摘要
分析金融风险管理课程实验教学过程中存在的问题,融合新技术与新方法及金融风险管理课程的发展趋势,通过建设以投资优化组合为主体的金融风险管理虚拟仿真实验教学平台,构建一个具有投资优化案例、风险模型构建、投资策略分析的虚拟仿真实验教学平台,同时,更新实验课程教学内容,改进实验教学模式,调动学生实验课程学习积极性,提升学生的实践动手能力,促进金融风险管理课程实验教学的改革与创新。
In this article we analyze the major problems in the experimental teaching of Financial Risk Management and explore the integration of new technology and method and the developing trend of the course of Financial Risk Management. With the construction of a virtual simulation experimental teaching platform for Financial Risk Management with investment optimization portfolio as the main body, it is essential to integrate investment optimization cases, risk model construction and investment strategy analysis, renew the teaching content, improve the teaching mode, arouse the students’ enthusiasm, improve students’ practical ability, and promote the teaching reform and innovation of Financial Risk Management.
作者
屈泳
赵洋
吴照奇
QU Yong;ZHAO Yang;WU Zhaoqi(School of Mathematics and Computer Science,Nanchang University,Nanchang 330031,China)
出处
《中国轻工教育》
2023年第1期70-78,共9页
China Education of Light Industry
基金
江西省社会科学“十四五”(2021年)基金项目“教育大数据开放共享的风险评估模型与控制策略研究”(21JY03)
南昌大学创新创业教育类教学改革研究项目“数字金融时代金融大数据创新实践实训平台的建设与应用研究”(NCUSCJG-2022N19)。
关键词
金融风险管理
虚拟仿真
金融工程
创新创业
Financial Risk Management
virtual simulation
financial engineering
innovation and entrepreneurship