自1991年以来,我一直在美国国家经济研究局与芝加哥大学的迪克·塞勒一起组织行为金融学研讨会。
I've been organizing workshops in behavioral finance at the National Bureau for Economic Research since 1991 with Dick Thaler at the University of Chicago.
后悔和风险认知均是行为金融学的研究热点。
Regret and risk cognition are intensively investigated in Behavioral Finance.
她也对行为金融学感兴趣,很棒,因为这也是我的兴趣之一。
She is also interested in behavioral finance, which is great to me because that's one of my interests.
行为金融学在尝试解释这些异象中得到蓬勃发展。
It learn behavioral finances in trying explain these anomalies grow vigorously.
论文首先介绍了行为金融学对完全信息假设的摒弃。
Firstly, It is referred that behavior finance denies the assumption of full information.
羊群效应的不对称性可用行为金融学及其期望理论解释。
The asymmetric degree of herding in up and down markets could be explained by behavioral finance and its prospect theory.
对于他来说,这是一个适当的标签,因为他热衷于行为金融学。
In his case, it is an appropriate label, because of his keen interest in behavioral finance.
她同时对行为金融学感兴趣,对我来说很很重要,因为这也是我的兴趣之一。
She is also interested in behavioral finance, which is great tome because that's one of my interests.
行为金融学研究的是为什么人们会在钱的问题上做出不理智的决定。
Behavioral finance — the study of why humans make irrational decisions about money — has made its mark on the world of investing in a big way.
行为金融学专家们为我们部分解开了人们不断犯下同一个错误的谜团;
Specialists in behavioral finance have sketched out some of our more persistent mental mistakes.
行为金融学将是我这门课的主题,而且也是《非理性繁荣》这本书的主题。
This will be a theme of my course and also a theme of this book, Irrational Exuberance.
主要是结合制度经济学、信息经济学、行为金融学的相关研究成果多层论述。
The analyses are across fields of institutional economics, information economics and behavioral finance with support of relevant research achievements.
文章论述了中国证券市场上的一些异象,并从行为金融学的角度给出了解释。
This article discussed some anomalies of the stock market in China and put forward some interpretation with the method of behavioral finance.
行为金融学就是以新的人性模式来研究不确定性环境下投资者决策行为的科学。
Behavioral finance is a science studying the decision-making behavior of investors under uncertain circumstances by using new mode about human nature.
卒之,行为金融学这个新领域的研究人员得出了令我满意的结果:优异取决于对抗羊群的强度。
Turns out, researchers in the new field of behavioral finance have shown to my satisfaction that the outperformance is a result of how hard it is to go against the herd.
行为金融学假设市场参与者的信息结构及特点有系统地影响其投资决策及市场结果。
Within behavioral finance it is assumed that the information structure and the characteristics of market participants systematically influence their investment decisions as well as market outcomes.
行为金融学从市场非完美角度出发,以分析有效市场“异象”作为其理论研究框架。
Behavioral finance from market imperfect Angle embarking, analyzes the effective market "anomalies" as its theoretical research framework.
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.
从行为金融学角度,建立基金经理过度自信时的交易模型,分析基金收益和风险的动态变化。
From behavioral finance point, the trading model of investment fund manager under the condition of overconfidence is advanced, and the variety of the returns and risk of investment fund is discussed.
行为金融学研究的是相对较新,并研究如何个人的态度和行为影响他们的财务决策和金融市场。
The study of Behavioural finance is relatively new and examines how individuals' attitudes and behaviour affect their financial decisions and financial markets.
而从行为金融学的角度分析,羊群行为是由交易者的心理活动和认知偏差引起的,它是非理性的。
From the perspective of Behavioral Finance, herding is irrational due to security trader's mind and cognizance error.
行为金融学认为:投资者情绪会影响投资者的行为及其投资决策进而会影响证券市场的资产定价。
Behavioral finance finds that investor sentiment will affect the behavior of investors and their investment decisions, thus affect the stock market asset pricing.
本论文尝试将行为金融学和主流金融学的思想融合在一起,尤其是前者,来研究中国的封闭式基金。
This dissertation proceeds both behavioral finance and traditional finance, especially the former to understand the "closed-end fund puzzle"from the Chinese experience.
行为金融学是以金融市场中投资人的真实行为为基础,研究人们在面对不确定性时如何进行资产配置的科学。
Behavioral finance is the study of how investors allocate their risky assets when they face the uncertainty in accordance with the practitioners' behavior in the financial market.
价值判断是金融学研究的核心内容,行为金融学的崛起使得价值判断依据由原来的预期效用理论转变为期望理论。
Valuation is the core of study on finance. The development of Behavioral Finance has changed the valuation rule from expected utility theory to prospect 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。
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。
Behavior finance is based on the suspicion of the hypothesis about rational prospect, risk evasion and maximum utility in the modern classical financial theory.
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