• Behavioral finance theory gains an increasing importance in finance theories.

    行为金融理论金融理论中所占的地位越来越重要

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  • William L. Megginson, Corporate Finance Theory, Pearson Education Limited, 2002;

    刘明辉。主译,《公司财务理论》,东北财经大学出版社,2002。

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  • The existing catastrophe bond pricing models are all based on the standard finance theory.

    现有巨灾债券定价模型基于标准金融理论建立

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  • The paper tries to resolve the puzzle successfully by using the behavioral finance theory.

    本文尝试行为金融理论分析以获得较合理的解释补充。

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  • According to the public finance theory, the core of the financial risk and its quantitative in theory can be derived.

    根据公共财政理论财政核心风险及其量化理论上可以推导出来的。

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  • The momentum effect drives a juggernaut through one of the tenets of finance theory, the efficient-market hypothesis.

    这种动量效应对另金融理论――”有效市场假设”――产生了强烈的冲击

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  • 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

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  • The latest progress in the research of behavioral finance theory is introduced in the papers, such as prospect theory, etc.

    文章介绍了国外行为金融理论研究方面进展,比如期望理论等等。

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  • At present, Law and Finance theory becomes an international financial theory on the most cutting-edge research in one direction.

    目前金融学理论成为国际金融理论最为前沿研究方向之一

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  • What finance theory is based onand much of economics is based onthe idea that people want to maximize the expected utility of their wealth.

    金融学理论建立并且很多经济学都是建立在,人们希望使自己对,财富的期望效用最大化基础

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  • Whether selling the equity of state-owned banks is undervaluing or not is a hot problem highlighted in economy and finance theory communities.

    国有银行股权是否“贱卖”,是近期经济金融理论界高度关注热点问题

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  • With the rising of volatility in the stock market, risk management has been the main research area of finance engineering and modern finance theory.

    随着金融市场波动性不断加剧,风险管理逐渐成为金融工程现代金融理论核心内容。

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  • The Dynamic Asset Share Pricing Theoretical Models are set up according to modern finance theory using Backward Stochastic Differential Equation Theory.

    运用倒向随机微分方程数学方法,建立动态资产份额定价理论模型

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  • The number of companies issuing such high-grade debt dwindled, as corporate-finance theory encouraged companies to borrow more heavily to increase earnings.

    新兴公司财务理论开始鼓励企业扩大债务规模,以期获取更多收入于是乎发行高评级公司债的企业逐渐减少。

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  • Have knowledge of international business, finance theory and foreign contracts and familiar with the regulations of notarization , arbitration and litigation of contracts;

    具有一定国际贸易国际金融理论涉外经济合同知识熟悉经济合同公正仲裁诉讼等规程

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  • Current Research Interests: economics and credit risk management of banking, corporate finance theory, behavioral finance, economics of risk and insurance, contract theory.

    主要研究方向及特色:目前研究兴趣商业银行经济理论信用风险管理公司金融行为金融、保险经济学合约理论。

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  • Whether we can not use capital pricing model, then avoid joint hypothesis in the empirical process, arbitrage the kernel of finance theory becomes the breach of the problem.

    实证过程是否可以使用资产定价模型进而回避联合检验金融中的核心理论——套利成为解决问题突破口

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  • Market timing that based on behavioral finance theory give up the Efficient Market Hypothesis and study the capital structure from the investor point of view of non-rational.

    基于行为金融市场理论放开有效市场的假设投资者的非理性角度研究公司资本结构,为资本结构的研究提供了一个新的视角

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  • Anyway, that shows that I think probability theory does have a long history, butit not being an intellectual disciplineit didn't really inform a generation of finance theory.

    不管怎样认为这个传说显示概率论确实长的历史并非一个学科没有形成金融理论。

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  • With no arbitrage principle used in more corporate finance theory research, no arbitrage analysis becomes a basic analysis method in corporate finance, just as equilibrium analysis.

    套利原理众多的财务理论中的广泛应用,使得基于无套利原理的无套利分析方法均衡分析方法一道成为公司理财学的基本分析方法。

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  • In behavioral finance theory the investors in the security market are "Bounded rational People", whose irrational behaviors can, less or more, easily to cause behavioral deflections.

    理论认为证券市场中的投资者属于“有限理性”,行为地存在着非理性,因而容易出现行为偏差

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  • Combining economics with psychology, behavioral finance theory studies the influence of psychological factors and behavior deviation to stock transaction on the uncertain environment.

    行为金融理论经济学心理学相结合,研究不确定环境下,投资者决策过程中的心理因素及其偏差行为金融市场交易影响

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  • Firstly we analyze the status characteristics of Chinese warrants market, and then introduce many "anomalies" through contrast behavioral finance theory to traditional financial theory.

    全文通过我国权证市场现状特征进行分析,把行为金融理论传统金融理论进行对比,剖析我国目前权证市场中许多异常现象”。

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  • The traditional finance theory is based on EMH and CAPM, but the models and methods are confined to the frame of rationality ignoring the analysis of investor's actual decision behaviour.

    传统金融理论建立有效市场假说(emh)资本资产定价模型(CAPM)两大基石之上,模型和范式局限在“理性分析框架中,忽视了对投资者实际决策行为的分析。

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  • According to the traditional finance theory, continuous surplus of current account and sustained increase of foreign exchange reserves will result in the appreciation of Chinese RMB Yuan.

    根据传统金融理论,经常项目持续顺差外汇储备持续增长应该使人民币升值

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  • With west finance theory, the influence factor and realizable way of tax burden shifting are analysed. In present condition of our country, the social effects of the shifting are discussed.

    运用西方财政学有关理论分析税负转嫁影响因素及其实现途径,结合我国现状讨论了税负转嫁社会效应

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  • With west finance theory, the influence factor and realizable way of tax burden shifting are analysed. In present condition of our country, the social effects of the shifting are discussed.

    运用西方财政学有关理论分析税负转嫁影响因素及其实现途径,结合我国现状讨论了税负转嫁社会效应

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