摘要
基于适应性理论,以帮助投资者实现理性决策为目标,针对决策过程中影响投资者理性决策的"外部环境"因素和"内部限制"提出两个方面的对策建议,一是对证券监管的对策建议,主要目标是为投资者理性决策创造一个好的"外部环境";二是对投资者个人的对策建议,主要目标是有利于投资者建立一个具有较强适应能力的投资决策模式。
Based on adaptive theory,it is aimed to help investors to make a rational investment decision. The writer makes two suggestions for the investors ,one is from the external factors and the other is from the internal factors. The external factors focus on securities regulatory, and the internal factors deal with the individuals' aspects to build a strong adaptive investing model for the investors.
出处
《黑龙江对外经贸》
2011年第4期101-102,共2页
Heilongjiang Foreign Economic Relations and Trade
关键词
行为金融理论
适应性理论
证券市场
behavioral finance theory
adaptive theory
security maket