此贴在2008/8/20 18:26:49被*monica*编辑过
第一学期四门主修课:Economics for Business and Finance BFIP25Sloman, J,
Essentials of Economics, Prentice Hall, 2004.
Gärtner, M,
Macroeconomics, 2nd ed., FT/Prentice Hall, 2006
Banking and Financial Institutions BFIP16King, D N,
Banking, Money and Finance. (This electronic text has been specially prepared for students at the University of Stirling, and it is available only to registered students.)
Corporate Finance INVP01Ross, S A, Westerfield, R W, Jaffe, J & Jordan, B D,
Modern Financial Management (8th ed.), McGraw-Hill, 2008.
Financial Reporting INVP02Walton, P & Aerts, W,
Global Financial Accounting and Reporting: Principles and Analysis, Thomson, 2006.
第二学期两门主修课:Quantitative Methods in Finance BFIP13Dougherty, C,
Introduction to Econometrics (3rd ed.), Oxford University Press, 2007
Money, Banking and the Economy BFIP26Dow, S C,
Money, Banking and the Economy. (This electronic text has been specially prepared for students at the University of Stirling.)
Gardener, E, & Molyneux, P,
Changes in Western European Banking, Routledge, 1990.
Howells, P, & Bain, K,
The Economics of Money, Banking and Finance: a European Text, Prentice Hall, 2005.
加上从以下的科目中选择两门作为选修(第二学期):Emerging, Transition and Islamic banking BFIPEBMaxfield, S,
Gatekeepers of growth: the international political economy of central banking in developing countries, Princeton University Press, 1998.
Rosly, S A,
Critical issues on Islamic banking and financial markets, AuthorHouse, 2005.
Fries, S,
Building sound banking in transition economies, EBRD, 1995
International Finance and Emerging Countries BFIPIFBeim, D O, & Calomiris, C W,
Emerging Financial Markets, McGraw-Hill, 2001.
Harvey, C,
Analysis of Project Finance in Developing Countries, Gower, 1994.
Modern Banking Theory and Practice BFIPMB Heffernan, S,
Modern Banking, Wiley, 2006.
Valdez, S,
An Introduction to Financial Markets, 4th ed., Palgrave, 2006.
International Corporate Finance BUAP94 Madura, J & Fox, R,
International Financial Management, Thomson, 2007.
Issues in Corporate Finance FINP11参考材料:Articles that either review the literature or empirically investigate an issue.
Derivatives INVP10Bodie, Z, Kane, A, & Marcus, A J,
Investments, (6th ed.) Irwin McGraw-Hill, 2005.
Hull, J,
Options, Futures and Other Derivatives, 6th ed., Prentice Hall, 2006..
Investments and Portfolio Management INVP11Bodie, Z, Kane, A, & Marcus, A J,
Investments (6th ed.), Irwin McGraw-Hill, 2005.
第三学期:毕业论文Dissertation BFIP8D 论文参考题目:- Insider dealing.
- Country risk analysis and the relationship between country ratings and the spreads in syndicated loan markets.
- The regulation of derivative markets.
- The flexible price monetary model: can it predict a self-fulfilling currency crisis?
- Mortgage-backed securitization and competition in the UK mortgage market.
- Personal pension funds: a comparison between Iceland and the United Kingdom.
- The objectives and functions of the future European system of central banks.
- A comparison of the domestic and cross-border shareholder wealth effects of mergers and acquisitions: the European context.
- The banking system in Balkan countries in transition.
- An analysis of e-banking and its implications for the Greek financial system.
- The determinants of Norwegian bilateral aid to developing countries.
- Portfolio diversification benefits via investment in the emerging stock markets of Greece, Poland, Hungary and Russia.
- A critical assessment of the Indian financial sector reform.
- Central bank and monetary policy: the case of Thailand.
- An empirical test of the efficiency of the Chinese stock market
- Universal Banking: an Appropriate Strategy for China
- Prudential regulation and supervision in banking crises: the Indonesian experience.
- Adverse selection and moral hazard in the US health care insurance market.
- Foreign direct investment in Kenya
- Responses to global warming from te insurance industry and financial markets
- The relationship between the formal and informal financial sectors in Ghana.