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Behavioral finance: Finance with normal people

机译:行为金融:与普通人一起融资

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Behavioral finance is under construction as a solid structure of finance. It incorporates parts of standard finance, replaces others, and includes bridges between theory, evidence, and practice. Behavioral finance substitutes normal people for the rational people in standard finance. It substitutes behavioral portfolio theory for mean-variance portfolio theory, and behavioral asset pricing model for the CAPM and other models where expected returns are determined only by risk. Behavioral finance also distinguishes rational markets from hard-to-beat markets in the discussion of efficient markets, a distinction that is often blurred in standard finance, and it examines why so many investors believe that it is easy to beat the market. Moreover, behavioral finance expands the domain of finance beyond portfolios, asset pricing, and market efficiency and is set to continue that expansion while adhering to the scientific rigor introduced by standard finance.
机译:行为金融正在建设为金融的坚实结构。它包含标准财务的各个部分,替代了其他部分,并包括了理论,证据和实践之间的桥梁。行为金融在标准金融中用正常人代替了理性人。它用行为投资组合理论代替均方差投资组合理论,并用行为资产定价模型替代CAPM和其他仅由风险决定预期收益的模型。行为金融在有效市场的讨论中也将理性市场与难以击败的市场区分开来,这种区分在标准金融中通常是模糊的,并且研​​究了为什么这么多投资者认为容易击败市场。此外,行为金融将金融领域扩展到投资组合,资产定价和市场效率以外的领域,并且在坚持标准金融引入的科学严谨性的同时,将继续进行扩张。

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