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作 者:封文丽[1] 耿悦 FENG Wen-li;GENG Yue(School of Finance,Hebei University of Economics&Business,Shijiazhuang 050000,China)
机构地区:[1]河北经贸大学金融学院,河北石家庄050000
出 处:《长春金融高等专科学校学报》2021年第4期37-44,共8页Journal of Changchun Finance College
基 金:2019—2020年河北省高等教育教学改革研究与实践项目(2019GJJG176)。
摘 要:2018年以来,我国金融业全面开放已经拉开序幕。全面开放过程中金融风险也在不断升级变化,为金融风险管理人才培养提出更高标准和要求。基于全面开放背景下金融风险新特征,分析三种不同类型金融风险管理人才培养应做的适应性调整,并从拓展国际化视野、完善课程体系、提升量化投资技能、强化职业道德规范等多维度系统化地提出优化人才专业素养培育的相关建议。China's opening up of financial industry begun in 2018.In the process of comprehensive opening up,financial risk is also constantly upgrading and changing,which proposes higher standards and requirements for the cultivation of financial risk management talents.Based on the new characteristics of financial risk under the background of comprehensive opening,this paper analyzes the adaptability adjustment of three different types of financial risk management personnel training,and systematically proposes relevant suggestions to optimize the cultivation of professional quality of talents from multiple dimensions,such as expanding the international vision,improving the curriculum system,improving the quantitative investment skills,and strengthening the professional ethics.
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