Industrial Technology Graduate Program in Financial Innovation
- Program Content
With intensified changes in the competitive environment, the boundaries between industries are becoming increasingly blurred, and bank’s customer base has also changed over time. The FinTech innovation lead future financial markets towards the integration of bigdata and financial system. Under technology reform of financial market, the cultivation of all-round personal financial management talents must not only understand the financial instruments in the market, but also have data processing and analysis capabilities to cope with the market competition. Therefore, Industrial Technology Graduate Program in Financial Innovation is designed for student to learn professional financial concept, data analysis skill and practical working experience. Industrial Technology Graduate Program in Financial Innovation is a two-year full-time program. The program itself is an industry-academy cooperative project with well-known domestic bank. It applies innovative ideas to enhance overall efficiency and promote industrial transformation as well. The goal of this program is to educate student with professional financial concept specially focus on FinTech and data analysis for future career. On the other side, Department of Finance provides full teaching facility to the program. To earn full credit, students who attend this program must finish both winter and summer internship provide by cooperative bank. Therefore, Students in this program also can gain practical working experience during school years. At the end of second year, the cooperative bank must provide at least 70% employment guarantee for this program.
- Program Design
1. CURRENT FINANCIAL PROBLEMS ANALYSIS
This course will invite lectures by leaders, experts, and scholars to increase the knowledge of the analysis of current critical financial issues. Topics will change from year-to-year depending on instructor and current events.
2.INTRODUCTION TO BIG DATA ANALYTICS
This course use Python for data analysis, website data retrieval and database inventory retrieval. The course design for understand the concept and processing tools of bigdata. Moreover, after this course, student will be able recognize the concepts of statistics and machine learning and apply them to financial data analysis.
3.FINANCIAL INVESTING AND PROGRAM TRADING
The goal of this course is to focus on Data Science, to develop a full range of financial management talents through R language programming skills, and to analyze appropriate personal financial trading strategies from a huge amount of quantitative financial information.
4.THE DEVELOPMENT OF FINTECH SERVICES
Financing technology startups combine traditional financial sectors with innovative technologies to provide a diverse range of new-type financial services that give consumers greater control. These disruptive innovations will reshape the structure, environment and consumption of the financial industry, and comprehensively rewrite the financial services landscape and break through the business model. Such innovative approaches will not be temporary, and these uninterrupted innovation forces will change consumer behavior, force business models and the long-term structure of the financial industry to adjust. Under the generational reform of financial technology, the background of a single financial management system has been unable to meet the needs of society. Cross-disciplinary talents have become more and more important. In order to meet the purpose of responding to financial changes and cultivating compound talents, this course has been opened. This course mainly leads students to use artificial intelligence technology and financial field to make financial investment decisions and analysis, such as securities and futures investment. Let students understand the specific meaning of financial technology and artificial intelligence investment.
5.MASTER THESIS(1)&(2)
To develop attitudes and abilities for completing research independently and finishing paper writing, students discuss papers with their professors in these two courses.
6.PROFESSIONAL PRACTICE IN FINANCIAL INDUSTRY (1)&(2)&(3)&(4)
Exclusive for Industrial Technology Graduate Program in Financial Innovation. Students have sufficient time to perceive and find the direction in the future during internship program. They can also know what ability they need to improve the ability during the semester, and achieve the communication in industrial education that can improve their capability before graduated.
To graduate from the program, students are required to earn total 44 credits or more from courses. In order to develop student abilities for completing research independently, students must complete a master thesis.
Overall, the goal of Industrial Technology Graduate Program in Financial Innovation is to develop student with professional financial concept and data analysis for future career. In this program, students not only learn theoretical professional knowledge in finance, but also practice in winter and summer internship; moreover, obtain the assistance of cooperate bank in all aspects of information and resource, then reduce the gap between academic theory and practical operation.
Curriculum Map
國立中山大學財務管理學系
金融創新產業碩士專班課程結構圖
Industrial Technology Graduate Program in Financial Innovation Curriculum Map
105.4.11_104學年度第五次系務會議暨課程委員會通過
105.4.27_104學年度第四次院課程委員會通過
105.5.23_104學年度第四次校課程委員會通過
106.4.10_105學年度第五次系務會議暨課程委員會通過
106.4.25_105學年度第四次院課程委員會通過
106.5.15_105學年度第四次校課程委員會通過
108.3.21_107學年度第三次課程委員會通過
校課委會(1084校課程委員會109.05.11)與教務會議(第164次教務會議109.05.28)通過
必修課程Compulsory Courses:
一年級 First Year |
二年級 Second Year |
當前財金問題分析(2) |
碩士論文專題(一)(3) 碩士論文專題(二)(3) 金融產業專業實習(三) (2) Professional Practice in Financial Industry (III) 金融產業專業實習(四) (1) Professional Practice in Financial Industry (IV) |
選修課程Elective Courses:
投資與期選 Investment and Options |
金融市場與管理 Financial Market and Management |
金融資訊 Financial Information |
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選擇權市場理論策略(3)Options Markets: Theory And Strategy 固定收益證券分析(3)Analysis Of Fixed Income Securities 國際投資組合管理(3) International Portfolio Management 期貨與選擇權(3) Futures And Options 投資理論與策略(3) Investment Theories And Strategies 現代投資組合理論與策略(3) Modern Portfolio Theory And Investment Strategy 證券分析與企業評價(3) Security Analysis And Business Valuation 財務工程與金融創新(3) Financial Engineering And Financial Innovation
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資本市場與金融機構(3) Capital Markets And Financial Institutions 銀行理論與管理(3) Banking Theory And Management 證券市場微結構實務(3) Securities Markets Microstructure Practice
金融市場理論與實務(3) Financial Markets Theory And Practice 金融機構風險管理(3) Risk Management For Financial Institutions 企業風險管理與實務(3) Corporate Risk Management Theory And Practice 保險理論與實務(3) Theory and Practice in Insurance 應用總體經濟分析(3) |
巨量資料分析導論(3)Introduction to Big Data Analytics 金融投資與程式交易(3)Financial Investing and Program Trading 金融數據分析與交易策略(3) Practice in Financial Data Analysis and Trading Strategies 財務研究方法(一)(3)Methodology for Finance (I) 財務模型和應用(3) Financial Models and Applications 財務資訊與實證(3) Financial Information and Empirics 金融科技服務開發(3) The Development of Fintech Services 財金機器學習(3) Machine Learning in Finance
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其他 Others |
公司理財與治理 Company Governance |
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倫理與社會責任(1) Ethics And Social Responsibility |
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財務管理理論與策略(3)Financial Management Theories And Strategies 公司治理(3) Corporate Governance 行為財務學的應用(3)Applications of Behavioral Finance Mergers And Acquisitions 國際財務管理理論與實務(3) International Financial Management Theory and Practice全方位個人理財規劃(3) Full Dimensional Personal Finance Planning 創業投資(3) Venture Capital 不動產投資與管理(3) Real Estate Investment & Management 新事業開發與財務規劃(3) New Business Development And Financial Planning |
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財務會計 Financial Accounting |
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財務報表分析與權益評價(3) Financial Statement Analysis And Equity Valuation 會計個案分析與研究(3) Case Studies In Accounting 國際會計準則(3) International Financial Reporting Standards 會計模型與應用(3) Accounting Models And Implications
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