行为金融理论
- 网络Behavioral Finance Theory;behavioral finance;behavior finance
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然而在用R/S分析法对人民币对美元汇率进行分析之后我们发现:中国外汇市场噪声缺乏,根据行为金融理论的观点,我国外汇市场效率低下。
But after the R / S analysis test we found the noise of our exchange market is too small which means that market isn 't efficient according to the behavioral finance theory .
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20世纪70年代末发展起来的行为金融理论,在博弈论和实验经济学被主流经济学接纳之际,它逐渐开始撼动CAPM和EMH的权威地位。
As the game theory and experimental economics being accepted by mainstream economics , the behavioral finance theory that developed from the end of 1970s to the beginning of 1980s gradually begins to shake the authority of CAPM and EMH .
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从这一效应可以预知,投资者从上一笔交易中获利后更倾向于购买一些冒险型的股票。行为金融理论提示,克服这种心理可以帮助投资者长期获利。
The house money effect predicts investors will be more likely to purchase risky may help investors profit more over the long term .
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文章的核心部分是以发行人、承销机构、投资者为主体的行为金融理论阐述及实证分析。本文使用的是询价制度建立以后,即2005年以后的IPO数据。
The core portion of the paper is based on the issuers , underwriters , investors , and behavioral finance as the main theoretical explanation and empirical analysis .
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据此,为券商提出了基于分形市场理论、行为金融理论、VaR技术、强化投资分析、调整业务结构和增加资本金等方面的对策。
Based on the fractal market theory , behavioral finance , VaR , reinforcement of investment analysis , business adjustment and capital increase , some countermeasures are brought forward to securities company .
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本文着重从行为金融理论的噪声交易者行为假说及自我归因假说分析了了IPO折价的原因,并得出成功的投资者是那些在大多数投资者认识到他们的行为偏差之前采取行动的投资者的结论。
This paper analyzes the cause of IPO discount by studying the noise transaction action and self-evaluation hypothesis of action financial theories and comes to a conclusion that successful investors are those who take action before most investors recognize their behavior deviation .
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根据实例数据,利用行为金融理论的资产组合模型(BPT模型)对不同风险的资产建模,利用微粒群算法编程求解。
According to the instance data , we can use portfolio model ( BPT model ) of behavioral finance theory to model the assets with different risk and use Particle Swarm Optimization ( PSO ) to program and to solve .
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非理性的市场与投资:行为金融理论述评
Irrational Market and Investment : A Survey of Behavioral Finance Theory
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行为金融理论与投资策略应用研究
The Studies on Behavioral Finance Theory and It 's Investment Strategies
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行为金融理论在金融理论中所占的地位越来越重要。
Behavioral finance theory gains an increasing importance in finance theories .
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其次,行为金融理论的发展与研究。
Secondly is the development and research of behavioral financial theory .
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基于行为金融理论的欧式期权定价
The European option of behavioral finance in the risk neutral market
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行为金融理论的评述及其发展方向
Comment on Theory of Behavior Finance and Its Developing Trend
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运用行为金融理论对我国封闭式基金折价现象进行了解释。
Then it interprets the closed-funds devaluation in terms of behavioral finance .
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金融学主要研究三方面的问题。标准金融理论与行为金融理论研究的范式各具特点。
Behavioral finance challenges standard finance with brand new paradigm .
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基于行为金融理论在农村信用合作社创建模式
Created a Business Model by Behavioral Financial Theory on Rural Credit Cooperation
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行为金融理论对有效市场假说的反思
Review of Behavioral Finance Theory on Efficient Markets Hypothesis
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行为金融理论是自20世纪80年代兴起的金融学说。
The behavioural financial theory was established in 1980s .
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基于行为金融理论的中国股票市场投资策略分析
Analysis of Investment Strategy of Chinese Stock Market Based on Behavioral Financial Theory
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商业银行操作风险的行为金融理论解释
An Explanation of the Behavior Finance Theory on Operational Risk in Commercial Bank
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行为金融理论是在此质疑上发展起来的一门崭新的研究领域。
Behavioral Finance Theory as a cutting-edge research is developed on this question .
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创新之处:1.应用行为金融理论对我国公司实际数据进行实证分析。
We use behavioral theory to analysis the domestic corporation data . 2 .
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行为金融理论在资本市场中的应用
The Application of Behavior Finance in the Capital Market
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中国行为金融理论的研究大致可以分为两个阶段。
China 's behavioral finance theoretical research could be divided into two periods .
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基于行为金融理论的非理性投机泡沫模型
Model of irrational speculation bubble based on behavioral finance
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试论行为金融理论的逻辑起点
Logical Starting Point of Theory of Behavioral Finance
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基于行为金融理论的收益率分布主观模型研究
Research of the Subjective Model of Returns Distribution Based on the Behavioral Finance Theories
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行为金融理论及行为金融投资策略
Behavioural Financial Theory and Its Strategy of Investment
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有效市场假说:行为金融理论和现代金融理论
EMH : Behavioral Finance Versus Modern Financial Theory
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标准金融理论与行为金融理论研究的范式各具特点。
A Comparative Study of Asset Pricing Theories Between Standard Finance and Behavioral Finance ;