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城镇家庭金融资产选择研究:基于结构方程模型的分析 被引量:16

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摘要 本文从家庭参与金融市场的动机及影响因素展开研究,在梳理和总结国内外相关研究成果的基础上,选取相应的影响家庭金融资产的度量指标,构建了家庭金融资产投资的决策模型。然后基于专门的问卷调查数据,运用结构方程模型对影响家庭金融资产选择的各个变量之间的逻辑关系和内在机制进行了实证研究,并根据研究结论给出了相应的政策建议。
出处 《金融理论与实践》 北大核心 2010年第3期77-83,共7页 Financial Theory and Practice
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