机构地区: 中国社会科学院金融研究所
出 处: 《江苏社会科学》 2003年第6期32-37,共6页
摘 要: 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。它是对传统金融学如有效市场理论、套利定价理论等的创新,也反映了现代金融学研究的最新发展。而且行为金融理论地位的上升和理论的渐趋成熟也预示着金融理论研究范式与方法上的变革,预示现代经济学大变革的开始。本文试图对行为金融学作一点介绍,以便开拓学界的视野。 Behavioral finance is a science studying the decision-making behavior of investors under uncertain circumstances by using new mode about human nature. As an innovation to traditional finance theories, such as effective market theory, it reflects the forefront development of contemporary finance. Moreover, its rising status and theoretical maturity predict the innovation on financial study mode and methodology as well as the initial changes of modern economics. This paper introduces this theory in the aim at broadening the scope of Knowledge.
关 键 词: 行为金融学 人性模式 有效市场理论 套利定价理论 视界理论 心理学
领 域: [经济管理]