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金融经济学的研究范式及其演进——行为金融与标准金融研究范式之比较 被引量:5

Paradigms of Standard Finance and Behavioral Finance and Their Evolution
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摘要 金融学主要研究三方面的问题。标准金融理论与行为金融理论研究的范式各具特点。行为金融理论以全新的研究范式向标准金融理论提出了严峻的挑战。标准金融理论既有其理论的完备性和成熟性,也有一定的缺陷性;同样,行为金融理论既有其理论的先进性和不成熟性,也有一定的可发展性。行为金融理论的成熟发展必须通过构建自己的核心理论模型才能得以实现。 Behavioral finance challenges standard finance with brand new paradigm. After summarizing the paradigms of the two theories, the maturity and imperfection of standard finance and the advancement and immaturity of behavioral finance are pointed from five aspects comparatively. The evolution and the future of the two theories are analyzed at the end.
作者 赵新顺
出处 《河南大学学报(社会科学版)》 北大核心 2006年第6期50-54,共5页 Journal of Henan University(Social Sciences)
基金 国家教育规划基金资助项目(BKA010102) 河南省教育厅社科基金资助项目(028-GH-790) 软科学基金 河南大学自然科学基金资助项目(2006630003XK03ZDJJ152)
关键词 行为金融 标准金融 研究范式 实验经济学 behavioral finance standard finance paradigm experimental economics
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参考文献16

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二级参考文献25

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