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理性与非理性:投资者行为偏差分析 被引量:8

Reason and Unrationality: Analysis of the Invester's Behavior Deviation
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摘要 行为金融理论是西方国家金融研究和实践的前沿领域,它的出现弥补了现代金融理论在个体行为分析上的不足。本文重点分析了投资者行为偏差及其在中国证券市场的应用,并对行为投资策略作了简要介绍,为金融市场研究提供了一个新的视角。
作者 何勇 陈湛匀
出处 《金融教学与研究》 2005年第1期34-35,38,共3页 Finance Teaching and Research
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