概述人类社会管理风险和促进企业发展的理念、方法和制度。 强调精通财务的领导技能。描述当今的实践,分析未来的前景。介绍风险管理和行为金融学原理,以了解证券、保险和银行业的实际运作。 本课程的最终目标是有效地利用这些行业,使社会更加美好。

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Università di Napoli Federico II

University of Geneva
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学生评论
- 5 stars
85.58%
- 4 stars
11.70%
- 3 stars
1.48%
- 2 stars
0.34%
- 1 star
0.87%
显示 3/32186 个
已于 Oct 25, 2021审阅
This course is so useful to know about finance in depth it gives more examples about the finance . It help to make more decision in finance market. It also motivate students to attract towards finance
已于 Mar 9, 2025审阅
The lectures were real world example based and very insightful, this course proved to be extremely useful as it equipped me with a set of diverse financial tools to use in a multitude of scenarios.
已于 Aug 21, 2024审阅
This course is so useful to know about finance in depth it gives more examples about the finance . It help to make more decision in finance market. It also motivate students to attract towards finance
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