Behavioral finance: insights from experiments I: theory and financial markets

Behavioral finance: insights from experiments I: theory and financial markets
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行为金融学:实验的见解一:理论与金融市场

DOI:
10.1108/rbf-03-2015-0011
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发表时间:
2015
影响因子:
2
通讯作者:
D. Duxbury
D. Duxbury
中科院分区:
--
文献类型:
--
作者:
D. Duxbury

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目的-本文的目的,以及一篇配套论文(Duxbury,2015),是回顾研究财务决策和市场行为的实验研究所提供的见解。设计/方法/方式-重点是针对这些研究明确检查,或直接影响,最强大的识别现象或程式化的事实观察到的行为金融。第一篇论文的主题是理论和金融市场。结果-实验补充了行为金融实证研究的结果,避免了一些限制或假设隐含在这样的研究。独创性/价值-作者合成的实验研究在扩大知识的金融市场的运作和个人的金融行为所作出的宝贵贡献。
Purpose - – The purpose of this paper, and a companion paper (Duxbury, 2015), is to review the insights provided by experimental studies examining financial decisions and market behavior. Design/methodology/approach - – Focus is directed on those studies examining explicitly, or with direct implications for, the most robustly identified phenomena or stylized facts observed in behavioral finance. The themes for this first paper are theory and financial markets. Findings - – Experiments complement the findings from empirical studies in behavioral finance by avoiding some of the limitations or assumptions implicit in such studies. Originality/value - – The authors synthesize the valuable contribution made by experimental studies in extending the knowledge of the functioning of financial markets and the financial behavior of individuals.
实验分析的贝叶斯方法:实验室金融市场中的交易
DOI: 10.1007/s10058-012-0124-8
发表时间: 2012
影响因子: 0.7
作者:
Cipriani M
通讯作者: Cipriani M