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随着我国经济快速增长发展,金融投资市场也随之不断发展。金融投资是一个高风险、高收益的市场,在优化资源配置方面处于核心地位,这对金融投资人才提出了较高的要求;特别是我国金融投资市场逐渐与世界金融市场的接轨,培养需要一批高素质的金融投资专业人才。因此,人才的培养关键在教育,而教育质量如何又在于贯彻与落实金融投资实验教学效果,这是由金融投资学科理论与实践相统一的特点所决定的。基于这种认识,本文从战略高度统筹规划金融投资实验教学体系安排,以期推动我国金融投资人才培养提供借鉴意义。
With the rapid economic growth in our country, the financial investment market also continues to develop. Financial investment is a high-risk and high-yield market, which is at the core of optimizing the allocation of resources. This puts forward higher requirements on financial investment professionals. In particular, the financial investment market in our country is gradually becoming integrated with the world financial markets, High-quality financial investment professionals. Therefore, the key to cultivating talents lies in education, and how the quality of education lies in carrying out and implementing the experimental teaching effect of financial investment, which is determined by the unification of the theory and practice of financial investment disciplines. Based on this understanding, this article makes overall planning for the arrangement of financial investment experiment teaching system from a strategic perspective, with a view to promoting China’s financial investment personnel training to provide reference.