公司金融学的主要理论框架包括:(1)完美市场理论(perfect market theory);(2)信息不对称理论(information asymmetry theory); (3)代理理论(agency theory),以及由代理理论衍生出的完全合约理论(theor...
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理论变化是因为经济学家了解到市场的条件是不完美的,何况只有一小部分公司在一定的行业规模化了。
The theory changed as economists realized conditions in the market were imperfect, and that only a small number of companies in certain industries, such as autos, had economies of scale.
在20世纪80年代,金融市场和内生增长模型的完美融合丰富的经济周期理论。
In the 1980s, the perfect fusion of financial markets and endogenous growth model enrich the theory of economic cycles.
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.
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