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“1221”模式对投资与理财专业教学改革的思考
引用本文:王丽花.“1221”模式对投资与理财专业教学改革的思考[J].太原大学学报,2009,10(4):91-93.
作者姓名:王丽花
作者单位:太原大学,财会系,山西,太原,030009
摘    要:投资与理财专业的教学改革,必须在"1221"人才培养模式的指导下,与当地资本市场和"大金融"的行业发展实际相结合。教学内容中应该高度融入职业资格证书的考试内容,通过与行业融合的实践教学来实现学生的零距离上岗,因地制宜地面向银行、证券和保险三个部门培养"大金融"的客户经理。

关 键 词:“1221”模式  教学改革  必要性  思考

"1221" Model and Teaching Reform in Specialty of Investment and Financial Management
WANG Li-hua."1221" Model and Teaching Reform in Specialty of Investment and Financial Management[J].Journal of Taiyuan University,2009,10(4):91-93.
Authors:WANG Li-hua
Institution:WANG Li-hua (Finance and Accounting Department, Taiyuan University, Taiyuan 030009, China)
Abstract:The teaching reform in the specialty of Investment and financial management must be guided by the "1221" talent training model and it must be combined with the development reality of the local capital market and "great finance".The teaching materials should contain the content of the profession certificate test.The students can directly go to his post through the practical learning combined with the industry.Thus the customer managers facing such three lines of business as bank,stock,and insurance can be trained according to the local conditions.
Keywords:"1221" talent training model  teaching reform  necessity  idea
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