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- Finance Theory in Continuous Time. 時(shí)間連續金融理論。
- Markowitz portfolio theory has become the footstone of modem finance theory. 摘要馬柯維茨的投資組合理論奠定了現代金融理論的基石。
- Finance theory prescribes holding well-diversified portfolios to reduce the overall risk of your investments. 金融學(xué)理論主張通過(guò)持有多樣化的投資組合來(lái)降低投資風(fēng)險。
- The findings is inconsistent with the mainline analysis of Western finance theory. 這一結論似乎與西方財務(wù)學(xué)對債務(wù)治理效應的主流分析不符。
- Sabine’s paradigm of Historicism, does a research into the relationship between the individual and the politics according to the thought of Zygmunt Bauman, the famous contemporary western thinker. 通過(guò)分析個(gè)體與政治在西方近代以來(lái)的關(guān)系變遷,我們發(fā)現,現代政治在全球化時(shí)代已難以滿(mǎn)足個(gè)體對自由和穩定的雙重渴求,而新的政治又尚未建構。
- EMH is the most important base of the modern finance theory, but it was also given a rise to a good deal of controversy when many people agree with it. 有效市場(chǎng)假說(shuō)(Efficient Market Hypothesis,簡(jiǎn)稱(chēng)EMH)是現代證券市場(chǎng)理論體系的支柱之一,也是現代金融經(jīng)濟學(xué)的理論基石之一,但他在不斷獲得支持的同時(shí)也引起了各種爭論。
- So,it is imperative that China's public finance theory need to transcend the boundary of the main stream neoclassic th... 我國公共財政理論需要超越西方主流經(jīng)濟學(xué)及其公共財政學(xué)的制度既定觀(guān),以進(jìn)一步推進(jìn)我國公共財政理論的發(fā)展。
- This one concept extended the research range of cameralistics greatly, be helpful for the development of finance theory, practice and education. 這一概念大大拓展了財政學(xué)的研究范圍,有利于財政理論、實(shí)踐和教學(xué)的發(fā)展。
- The capital structure theory is a very complex question in the firm finance theory, and has been the important topic since long ago. 資本結構理論是企業(yè)金融理論中一個(gè)非常重要而復雜的問(wèn)題,也是一個(gè)長(cháng)期以來(lái)爭論不休的話(huà)題。
- The traditional mainstream finance theory is based on western economics and investor logos, as the core assumption, runs through it, but different models define logos differently. 摘要傳統主流金融理論是建立在西方經(jīng)濟學(xué)基礎上的,投資者理性是貫穿始終的核心假設,不同模型對理性的定義有所不同。
- The practical application of finance theory will be demonstrated with in-class examples, simulation exercises, and various projects at the CAFE, the Center for A... 實(shí)際應用的金融理論將證明,在一流的例子,模擬演習,并在各個(gè)項目的咖啡廳,中心的應用金融教育。
- The behavioral finance theory seems more persuadable when facing some insoluble phenomenon such as Herd Behavior, Paradox of redemption, Fund discounts. 在面對傳統金融理論難以解釋的“羊群行為”、“贖回悖論”、“基金折價(jià)”等現象時(shí),行為金融學(xué)理論相對來(lái)說(shuō)更顯說(shuō)服力。
- The traditional finance theory is based on EMH and CAPM, but the models and methods are confined to the frame of rationality ignoring the analysis of investor's actual decision behaviour. 傳統金融理論建立在有效市場(chǎng)假說(shuō)(EMH)和資本資產(chǎn)定價(jià)模型(CAPM)兩大基石之上,其模型和范式局限在“理性”的分析框架中,忽視了對投資者實(shí)際決策行為的分析。
- In Behavioral finance theory the investors in the security market are "Bounded Rational People", whose irrational behaviors can, less or more, easily to cause behavioral deflections. 該理論認為證券市場(chǎng)中的投資者屬于“有限理性人”,其行為或多或少地存在著(zhù)非理性,因而容易出現行為偏差。
- the development of finance theory 金融發(fā)展理論
- In this case, it is important to study the financing theory of western M &A, make reference of their experiences and strengthen the study on enterprise behavior in M &A. 在這種情況下,研究西方企業(yè)并購融資理論,借鑒其先進(jìn)經(jīng)驗,加強并購融資中企業(yè)行為的研究,對于促進(jìn)當前國內并購融資發(fā)展具有重要的現實(shí)意義。
- Compared with the traditional financing theory and the practice of finance in the westen developed marketing economy countries,the financing behaviour of our listing companies are abnormal and the debt and capital structures formed from this are twisting. 與傳統的企業(yè)融資理論及西方發(fā)達市場(chǎng)經(jīng)濟國家的融資實(shí)踐相比,我國上市公司的融資行為是反常的,由此形成的債務(wù)資本結構也是扭曲的。
- LSV Asset Management, Fuller &Thaler Asset Management, David Dreman and Ken Fisher are some money managers that invest based on behavioral finance theories. 相當部分投資者的決策依靠的是直覺(jué)而非精確的計算,即便精確的計算也會(huì )出現偏差。
- This thesis firstly study the financing theory western enterprise M&A, and consider there is a best capital structure which can make the enterprise produce enough controlment in low cost. 正文首先對已有的并購融資理論進(jìn)行了闡述,認為在并購融資模式選擇時(shí),企業(yè)應尋求最佳的資本結構,以最低的成本產(chǎn)生足夠大的控制力;