Finally, with the help of the modern behavior finance theory, the pricing model with irrational expectations is introduced.
最后结合现代行为金融理论,介绍了非理性预期下的行为定价模型。
Combining economics with psychology, behavioral finance theory studies the influence of psychological factors and behavior deviation to stock transaction on the uncertain environment.
行为金融理论把经济学与心理学相结合,研究在不确定环境下,投资者在决策过程中的心理因素及其偏差行为对金融市场交易的影响。
As behavior finance relaxes the assumption that investors, administrators are rational, it can make better explanation to the problem from self-control, regret aversion, mental account theory.
行为金融学理论认为,自我控制的需要、后悔厌恶心理以及心理账户的原因,使得投资者偏好现金股利而不是资本收益;
Behavior finance is based on the suspicion of the hypothesis about rational prospect, risk evasion and maximum utility in the modern classical financial theory.
行为金融学是在质疑经典金融理论关于投资者具有理性预期、风险回避和效用最大化的行为特征的前提假设中产生的。
The emergence of the theory of financial market micro-setup and behavior-finance has aroused extensive focus on the herd effect in securities market.
金融市场微观结构理论和行为金融学的兴起引起了人们对证券市场羊群效应的广泛关注。
The emergence of the theory of financial market micro-setup and behavior-finance has aroused extensive focus on the herd effect in securities market.
金融市场微观结构理论和行为金融学的兴起引起了人们对证券市场羊群效应的广泛关注。
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