Professor Robert J. Shiller,Financial Markets (Yale University: Open Yale Courses), http://oyc.yale.edu/economics/econ-252-11 (Accessed Oct 4, 2016). License: Creative Commons BY-NC-SA
This Course is an overview of the ideas, methods, and institutions that permit human society to manage risks and foster enterprise. Description of practices today and analysis of prospects for the future. Introduction to risk management and behavioural finance principles to understand the functioning of securities, insurance, and banking industries.
About Professor Robert J. Shiller
Robert J. Shiller is Arthur M. Okun Professor of Economics at Yale University and a Fellow at the International Center for Finance at the Yale School of Management. Specializing in behavioral finance and real estate, Professor Shiller has published inJournal of Financial Economics, American Economic Review, Journal of Finance, Wall Street Journal, and Financial Times. His books include Market Volatility, Macro Markets (for which he won TIAA-CREF’s Paul A. Samuelson Award), Irrational Exuberance, The New Financial Order: Risk in the Twenty-First Century, and Finance and the Good Society.
This Yale College course, taught on campus twice per week for 75 minutes, was recorded for Open Yale Courses in Spring 2011.
|Section 1: Introduction|
|Introduction to Software Training Details||FREE||00:40:00|
|Object Oriented Design Patterns Details||00:35:00|
|Software Testing Details||00:30:00|
|Section 2: Advanced Computing|
|Advanced Database Development Details||00:25:00|
|Algorithm analysis Details||00:45:00|
|Multi Threading in Softwares Details||00:40:00|
|Managing Software Testing Details||00:20:00|
|The Software Quiz||00:04:00|