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长春股票分析师讲师招聘

发布时间: 2022-07-01 19:29:09

A. 寻找一个股票分析

顶楼上~~~~

股票分析师 你把本金全给人家可能都请不到

想听散户的声音 再进来发问

享受乐趣不计得失,混久了 就会猜了

B. 关于股票分析师。

证券类的(正式的),对学历要求特别高,研究生很难进去。满大街招聘的分析师,客户经理等证券上的职位,都是属于第三方的,不是正式员工的,不要误解。而且,这个行业压力很大,拿证券经纪人来说,很多都没有底薪,而且,每月都有任务,拉到的客户第三年就没有提成了,能干到两年的少之又少。谨慎对待此行业,应届毕业生很容易被招聘书忽悠。

C. 请一名股票分析师要花多少钱

社保节前周四喊减仓
公募基金节前周五立马减
机构都走了,散户能托大盘??
你请谁都没用!

D. 招聘股票分析师(操盘手)数名,要求: 1. 对个股股票和大盘的走势有着敏锐的洞察力,能把握住市场的热点

报上公司名称,是券商吗?

E. 无经验,想做证券分析师,有前途吗

个人的观点是有前途,但前途上荆棘密布。
首先,没有人生下来就对投资与证券知识有经验。也就是说,所有有经验的人也都是从无经验开始奋斗的。所以,有无经验并不是做证券分析师的必要条件。
第二,没有经验可以学习。要想进入投资证券行业的话,学习必要的证券知识是必要的,你可以通过看书、交流、实操等多种方式学习,只不过不管通过哪种方式都需要坚苦努力的过程。如果只看到媒体上的证券分析师光鲜亮丽,又不希望寒窗苦读,那么客观的说,成功的概率不大。
第三,要对自己的能力有一个客观的了解。如果你将一笔钱按计划投入证券市场,但股市却大幅波动,而你没两天就受不了了,那就不要考虑进入这个行业了,毕竟这个行业需要一个大心脏。(这一点你可以通过拿一小笔资金介入证券市场,如果你总是时不时的想看盘面波动,那就赶快辙资另寻他路吧)
第四,在任何行业中要想成功,都离不开坚持二字,而在证券行业更是如此。如果你想进入这个行业短期内就获得财富自由那恐怕也不是理性的想法。需要做好在行业中长期打拼,积累经验的准备。
第五,问一问自己是不是真的热爱这个工作,毕竟人活着的最大意义是做自己喜欢的事,经验自己渴望的人生。如果只是为了钱而做自己并不想做的事总感觉活着有些文不对题的样子。
最后,如果你爱投资、有能力、肯学习、有恒心,那么,就行动起来吧,前途并不那么遥远。

F. 股票分析师上岗条件

要通过证券做从业资格考试.满18周岁,具有高中以上文化程度和完全民事行为能力的境内外人士都可以报名参加证券业从业人员资格考试。
考试科目分为基础科目和专业科目,基础科目为证券基础知识,专业科目包括:证券交易、证券发行与承销、证券投资分析、证券投资基金。单科考试时间为120分钟。基础科目为必考科目,专业科目可以自选。选报的考试科目数量没有限制,可以选择全报。
从2004年起,全部为机考,全国统考,闭卷,采取计算机考试方式进行,每科考试60分为合格线。

G. 请问我要当一名股票分析师,应该考什么专业

如果你成绩还可以的话,建议你报考西南财经大学证券期货学院。

证券与期货学院简介

西南财经大学是教育部直属的国家重点大学,也是国家“211工程”重点建设大学。证券与期货学院作为中国全日制高等教育唯一培养证券、期货人才的专业性学院,成立于2008年9月28日。前中国证监会主席周正庆教授担任学院名誉院长。学院实施校企合作共建的办学模式,设有学院理事会。

金融是现代经济的核心,主导着现代经济的发展。西南财经大学金融学科具有悠久的办学历史和辉煌的办学业绩,为证券与期货学院的发展提供了坚实的学科支撑。构建以国家重点学科金融学为核心,以银行、保险、证券期货三大领域为主体,多学科交叉、渗透和支撑的“大金融优势学科群”,决定了证券与期货学院的成立是学校学科建设和发展战略布局的重要举措。

在学校的领导下,在理事单位的合作共建下,学院秉承“经世济民、孜孜以求”的西财精神,遵循“开放包容、竞争创新”的院训,坚持面向国际、面向市场、面向未来的办学理念,坚持开放办学、追求创新、突出特色的建院方针,主要面向证券、期货监管部门,交易所,证券、基金、期货公司以及公司证券事务,开展有针对性的特色人才培养;围绕学科前沿和国家重点需求开展证券期、货领域重大理论和实践问题的研究,努力为中国证券与期货业发展服务,努力把学院建设成为证券与期货业高素质人才培养、高水平科学研究、高品质社会服务的一个重要基地,为学校创建特色鲜明的高水平大学做出重要贡献。

学院下拟设一系四所:即证券与期货系;宏观经济与市场趋势研究所、行业与资产配置研究所、衍生品与资产定价研究所、资本市场模拟与测试研究所。现有教师18人,其中:博士生导师4人,教授(含兼职教授)13人,副教授6人。教师队伍中,既有专注于证券市场理论研究的专家,如:冯用富教授;也有长期从事证券与期货行业管理的知名人士,如:前中国证监会主席周正庆教授、前中国证监会副主席屠光绍教授、现中国证监会主席助理姜洋教授等;还有证券与期货业界的知名专家,如:国信证券股份有限公司总裁胡继之教授、中国银河证券股份有限公司副总裁李梅教授等。

学院致力于培养理论修养厚实、专业技能扎实、思想品德优良的创新型开拓型人才。本科生专业:金融学专业(证券与期货方向);本科阶段专业主干课程包括:投资学、公司金融、投资银行学、行为金融学、固定收益证券、期货期权与其他衍生品、证券法规与监管、国际金融市场、中国资本市场发展专题等。硕士研究生专业:金融学专业(证券市场运行与监管方向)、金融学专业(证券与期货投资方向);硕士研究生阶段专业主干课程包括:资产定价、证券分析专题研究、风险管理、新型投资工具原理与运用、国际证券市场研究、证券市场监管专题研究等。博士研究生的专业是:金融学(资本市场研究方向);博士研究生阶段专业主干课程包括:金融学基础及其研究方法、证券模拟实验与风险管理、资本市场理论与实践研究前沿、金融资产与衍生产品定价、资本市场财务与会计研究等。

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.