Statistical Analysis of Stock Investment
Date: 2018-10-15 Views: 13

Statistical Analysis of Stock Investment

Course No.:1080026    Credit(s): 2

Course Description

Statistical Analysis of Stock Investment is one of the core courses for statistics major. This course is a methodology disciplines for Securities Investment and statistics. This course is oriented towards the training of high-quality professional economics and statistics talents with qualified and innovative practical ability.

By studying Statistical Analysis of Stock Investment, students can make rudimentary analyses on securities market by means of statistical method and lay a good foundation for conducting securities investment. Meanwhile, they can also comprehend the applications of statistical approach in securities market.

Course Learning Outcomes

The student learning outcomes are what student would be able to know and to do on the completion of this course. In details are:

1.Know the basic analysis method in securities market and common statistical approach in securities investment.

2. Grasp the specific applications of statistical knowledge in securities market.

3. Understand the applications of statistical approach in securities market.

Relationship to Other Courses

The prerequisites for this course are Statistics, Probability Theory and Mathematical Statistics, Western Economics.

Textbook and Reading Lists

Textbook:

Guoxiang Xu, Security Investment Analysis. Science Press, 2007.

Suggested reading lists:

Marc Lore, Lev Borodovsky, Financial Risk Management. Buttenworth and Heinemann, 2000.

John HullOptions, Futures, and Other Derivatives(7th edition).  NEW May, 2008.

Yanyun Zhao, Finance Statistical Analysis. China Renmin University Press, 2000.

Hongmei Liu, Finance Statistics. Shanghai University of Finance and Economics Press, 2005.

Course Assessment

Activities

Weighting (%)

Daily Performance and Homework

30%

Midterm Exam

0%

Final Exam

70%

  

Course Schedule

Week

Topics

Text

1-2

Lecture   1 Procedure and Method of Security Investment Analysis

1.1   Investment Process and Procedure

1.2   Meaning of Security Investment Analysis

1.3   Process of Security Investment Analysis

1.4   Method and Content of Security Investment Analysis

Chapter 1

3

Lecture   2 Common Statistical Method in Securities Investment

2.1   Introduction

2.2   Review of Common Statistical Method

2.3   Statistical Techniques of Securities Investment

Chapter 2

4-6

Lecture   3 Descriptive Statistics in Securities Investment

3.1   Data Types

3.2   Basics of Descriptive Statistics

3.3   Related Metrics

3.4   Index, Single Index, Simple Average Index, Weighted Index and Stock Index's   computation

Chapter 3

7

Lecture   4 Inferential Statistics in Securities Investment

4.1   Sampling Theory

4.2   Sample Estimate and Confidence Interval

4.3   Hypothesis Testing

Chapter 4

8-9

Lecture   5 Econometric Method of Financial Time Series

5.1   Basics

5.2   Univariate Stochastic Model

5.3   Cointegration

Chapter 5

11-12

Lecture   6 Statistical Analysis of Stock Market

6.1   Summarization about the Stock

6.2   Stock Issuing Market Statistics

6.3   The Stock Currency Market Statistics

Chapter 6

13

Lecture   7 Statistical Analysis of Bond Market

7.1   Summarization of the Bond

7.2   Bond Market

7.3   Bond Market Statistics

Chapter 7

14-15

Lecture   8 Statistical Analysis of Securities Investment Funds

8.1   Conception of Securities Investment Funds

8.2   Classified Statistics of Securities Investment Funds

8.3   Fund Operation and Management

Chapter 8

16-17

Lecture   9 Futures Market Statistics

9.1   Summarization of Futures

9.2   Function of Futures Market

9.3   Structure of Futures Market

9.4   Futures Statistical Index

Chapter 9

18

Final   Exam