① 股票分析師考試怎么考
成為金融分析師需要:
1、依次通過三個級別的考試;
金融分析師考試由三個級別組成,每個級別的考試時間均為6個小時。通過三個級別的考試一般需要2-5年的時間。每個級別的考試次數沒有限制,考生可以無限次參加每一個級別的考試。
2、具有四年或以上的金融分析師認可的與投資決策過程相關的專業工作經驗(相關經驗可在考試前、考中、考后積累);
3、提交兩封引薦人Sponsor的推薦信;
4、申請成為金融分析師及所在地協會的會員資格(membership);
5、承諾遵守CFA協會的道德與行為準則。
② 我想學股票分析 大學報什么啊
學股票啥的,就讀金融類專業,畢業后一般都是去金融行業如銀行,證券等
可以報中南財經政法大學,江西財經大學,東北財經大學。學電子這些嘛,估計你讀大學的時候就不會想了
③ 將來想做股票分析師,大學選什么專業啊
金融證券相關專業,沒有專門學習炒股技術的專業,只能選擇一個金融研究宏觀經濟的專業
④ 我的夢想是一名股票分析師,考大學我應該報什么專業
股票分析師不需要專業
硬要說的話 金融經濟類的學科吧
⑤ 要成為一個股票分析師需要在大學里學習什么專業
金融
滿意請采納
⑥ 請問我要當一名股票分析師,應該考什么專業
如果你成績還可以的話,建議你報考西南財經大學證券期貨學院。
證券與期貨學院簡介
西南財經大學是教育部直屬的國家重點大學,也是國家“211工程”重點建設大學。證券與期貨學院作為中國全日制高等教育唯一培養證券、期貨人才的專業性學院,成立于2008年9月28日。前中國證監會主席周正慶教授擔任學院名譽院長。學院實施校企合作共建的辦學模式,設有學院理事會。
金融是現代經濟的核心,主導著現代經濟的發展。西南財經大學金融學科具有悠久的辦學歷史和輝煌的辦學業績,為證券與期貨學院的發展提供了堅實的學科支撐。構建以國家重點學科金融學為核心,以銀行、保險、證券期貨三大領域為主體,多學科交叉、滲透和支撐的“大金融優勢學科群”,決定了證券與期貨學院的成立是學校學科建設和發展戰略布局的重要舉措。
在學校的領導下,在理事單位的合作共建下,學院秉承“經世濟民、孜孜以求”的西財精神,遵循“開放包容、競爭創新”的院訓,堅持面向國際、面向市場、面向未來的辦學理念,堅持開放辦學、追求創新、突出特色的建院方針,主要面向證券、期貨監管部門,交易所,證券、基金、期貨公司以及公司證券事務,開展有針對性的特色人才培養;圍繞學科前沿和國家重點需求開展證券期、貨領域重大理論和實踐問題的研究,努力為中國證券與期貨業發展服務,努力把學院建設成為證券與期貨業高素質人才培養、高水平科學研究、高品質社會服務的一個重要基地,為學校創建特色鮮明的高水平大學做出重要貢獻。
學院下擬設一系四所:即證券與期貨系;宏觀經濟與市場趨勢研究所、行業與資產配置研究所、衍生品與資產定價研究所、資本市場模擬與測試研究所。現有教師18人,其中:博士生導師4人,教授(含兼職教授)13人,副教授6人。教師隊伍中,既有專注于證券市場理論研究的專家,如:馮用富教授;也有長期從事證券與期貨行業管理的知名人士,如:前中國證監會主席周正慶教授、前中國證監會副主席屠光紹教授、現中國證監會主席助理姜洋教授等;還有證券與期貨業界的知名專家,如:國信證券股份有限公司總裁胡繼之教授、中國銀河證券股份有限公司副總裁李梅教授等。
學院致力于培養理論修養厚實、專業技能扎實、思想品德優良的創新型開拓型人才。本科生專業:金融學專業(證券與期貨方向);本科階段專業主干課程包括:投資學、公司金融、投資銀行學、行為金融學、固定收益證券、期貨期權與其他衍生品、證券法規與監管、國際金融市場、中國資本市場發展專題等。碩士研究生專業:金融學專業(證券市場運行與監管方向)、金融學專業(證券與期貨投資方向);碩士研究生階段專業主干課程包括:資產定價、證券分析專題研究、風險管理、新型投資工具原理與運用、國際證券市場研究、證券市場監管專題研究等。博士研究生的專業是:金融學(資本市場研究方向);博士研究生階段專業主干課程包括:金融學基礎及其研究方法、證券模擬實驗與風險管理、資本市場理論與實踐研究前沿、金融資產與衍生產品定價、資本市場財務與會計研究等。
School of Securities and Futures—About Us
Southwestern University of Finance and Economics (SWUFE) is one of the premier universities specialized in finance and economics in China. It is directly subordinate to the Ministry of Ecation of China and is also ranked as one of the Top 100 Universities in China’s ‘211’ Project. As the only school in China that is exclusively specialized in securities and futures, the School of Securities and Futures was established in September 28, 2008 to train both full time undergraate and postgraate students. The School is structured innovatively on the basis of cooperation between the University and instries, and is directed by the school council. The former CSRC Chairman, Professor Zhengqing Zhou, is the honorable dean of the School.
Finance as the core of modern economy plays a dominating role in economic development nowadays. SWUFE has a long history in developing this discipline and has made prominent achievements, which can be a solid backup to the School of Securities and Futures. One the other hand, the establishment of this new school is one of the most important strategic decisions of SWUFE to construct a ‘Galaxy of Superior Subjects in Finance’, which is built around the national key subject of Finance and supported by three major areas across Banking, Insurance, Securities and Futures.
Leading by the University and cooperating with the members of the School Council, we follow the spirit of SWUFE and keeps to the motto ‘Open and Accommodate, Competitive and Innovative’. Oriented by internationalization, market and the future, we commit to be open minded and innovatively building a school with unique characteristics. Our objectives are: bringing up specialists for the regulation bodies, stock exchanges, institutions, mutual funds, futures companies and other securities related corporations; providing support to the development of China’s financial market with policy oriented researches both theoretically and empirically. We devote ourselves to establish an important base of elite’s ecation, high level research and high quality social services. Our success will contribute significantly to SWUFE to become one of the outstanding Universities.
The School is organized to be including one department and four research units, which are the Department of Securities and Futures, Macroeconomics and Capital Market Research Unit, Instry and Capital Allocation Research Unit, Derivatives and Asset Pricing Research Unit and Capital Market Simulation and Testing Research Unit. Currently we have 18 academic staff including 13 professors (full time and part time) and 5 full time associate professors. Our team consists of academic researcher that has been long devoted to theoretical and empirical research of security market Professor Yongfu Feng; officials in the regulation bodies such as former CSRC Chairman Professor Zhengqing Zhou, former Deputy CSRC Chairman Professor Guangshao Tu, CSRC Chairman Assistant Professor Yang Jiang; well known specialists in the instries such as the President of Guoxin Securities Co. Ltd. Professor Ji Hu and the Vice President of China Galaxy Serurities Co. Ltd. Professor Mei Li.
To achieve the objective of bringing up innovative elites with strong theoretical background, comprehensive professional knowledge and excellent personal quality, our school provides the following degree courses:
Undergraate Programs: BSc. in Finance (Securities and Futures). Core moles include: Investment, Corporate Finance, Investment Banking, Behavioral Finance, Fixed Income Securities, Futures Option and other Derivatives, Securities Law and Regulation, International Financial Markets, Topics in China’s Capital Markets etc.
Postgraate Taught Programs: MSc. in Finance (Operation and Regulation of Securities Markets; Securities and Futures Investment). Core moles include: Asset Pricing, Advanced Topics in Securities Analysis, Risk Management, Principle and Practice of New Investment Tools, International Securities Markets, Regulation and Supervision of Securities Market and etc.
Postgraate Research Program: PhD in Finance (Capital Market Research). Core moles include: Finance and Research Methods, Securities Simulation and Risk Management, Advanced Research of Capital Market Theory and Practice, Financial Asset and Derivatives Pricing, Capital Market Accounting and Finance etc.
⑦ 我想做股票分析師請問大學學什么專業具體一些 謝謝
嚴格來講學什么專業并不重要,重要的是要通過專業養成一種思維方式,證券分析師可能用到的分析方式,是為了養成一種理性的價值判斷思維方式。如果那些專業更有利一些的話,還是金融財會方面專業會好些!
⑧ 有哪些有名的股票分析師
一般股漂配姿公司里都會有專門的分析師給用戶提供專業的幫助。
⑨ 請問我要當一名股票分析師,應該考什么專業
做證券分析師專業最好是金融學,或者是金融下的細分學科,比如證券投資學,但是專業不是最重要的,很多證券公司招人時也找其他專業的,因為每個專業都會有自己的優勢。而且課本上學的比較理論化,所以做分析師還需要以后專門培養的。
目前好多證券公司要找研究生來培養成分析師的,所以你想成為分析師還要有讀研究生的準備。樓上說的證券從業證是進入證券行業最基本的,這個考試比較容易的,你讀大學的時候可以考。
如果在上海讀金融的話去上海財經大學或者復旦大學都很好的,個人感覺上財證券學比較好,復旦貨幣銀行、國際金融更好些。
具體課程各個學校設置不太一樣,一般金融學有以下課程:政治經濟學、西方經濟學、財政學、國際經濟學、貨幣銀行學、國際金融管理、證券投資學、保險學、商業銀行業務管理、中央銀行業務、投資銀行理論與實務。