The study of correlative equilibrium theory breaks through the much forced hypothetical conditions under which the market behavior in a single transport mode is studied.
关联均衡的理论研究突破了单一运输方式市场行为研究的人为的过强的假设条件。
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.
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。
Also we study the relationship of the popularity of imitation behavior and the macro factors of stock market such as effectiveness and risk.
研究了在股票市场中模仿行为在交易者之间的流行程度对市场宏观层次上如效率和风险等因素的影响。
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