摘要
起步于1980年代的行为金融学被誉为金融学领域里的“显学”。综合国内外相关文献,作为一门年轻的学科,其深入研究才刚刚起步,研究显得松散破碎,没有形成紧密的结构体系,尤其是迄今为止行为金融学尚未找到一个独立的经济理论作为基础。行为金融学要摆脱其“窘境”,就必须树立起独立的学科地位,将心理学和实验方法作为一种工具或手段,而将奥地利经济学派理论作为其理论基础,并以此逐步建立起完整的理论体系。
Behavioral finance is "famous school" in the fields of finance which started in1980. Summing up the relevant literatures from the domestic and overseas, as a young school subject, the research just starts recently, the research is loose and disintegration, the tight structure system does formed, especially until now there is no independent economic theory can be used as the basis for the research of behavioral finance. In order to avoid the "embarrassing situation" for the Behavioral finance, the independent school subject position must be set up, Behavioral finance should choose psychology and test methods as a means or methods, and choose the theory of Austrian School as its theoretical basis to setup gradually the complete theory system.
出处
《武汉大学学报(哲学社会科学版)》
CSSCI
2007年第3期389-394,共6页
Wuhan University Journal:Philosophy & Social Science
基金
湖北省教育厅2006年度重点科研项目(D200619001)