在进行了过度反应检验之后,本文以现有的行为金融学理论为基础构建了行为金融学的分析框架,以此框架对过度反应检验的实证分析结果进行了分析。
After tested the overreaction hypothesis, the paper build a behavioral financial analysis frame based on the existing behavioral financial theories and analyze the empirical results in the frame.
本文通过实证研究肯定了行为金融学的研究思路,为进一步从群体心理行为和市场内部结构的角度分析预测市场收益率打下了坚实的基础。
The paper approves thinking of behavioral finance, taking solidified base on analyzing and forecasting market returns from aspect of group psychology and inner structure of market.
本文通过实证研究肯定了行为金融学的研究思路,为进一步从群体心理行为和市场内部结构的角度分析预测市场收益率打下了坚实的基础。
The paper approves thinking of behavioral finance, taking solidified base on analyzing and forecasting market returns from aspect of group psychology and inner structure of market.
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