eBook: Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets (DRM EPUB)
 
電子書格式: DRM EPUB
作者: James Ming Chen 
系列: Quantitative Perspectives on Behavioral Economics
分類: Risk assessment ,
Behavioural economics ,
Finance ,
Management & management techniques  
書城編號: 22162901


售價: $1164.00

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製造商: Springer International Publishing
出版日期: 2016/10/01
ISBN: 9783319327112
 
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商品簡介
This book explains how investor behavior, from mental accounting to the combustible interplay of hope and fear, affects financial economics. The transformation of portfolio theory begins with the identification of anomalies. Gaps in perception and behavioral departures from rationality spur momentum, irrational exuberance, and speculative bubbles. Behavioral accounting undermines the rational premises of mathematical finance. Assets and portfolios are imbued with "affect." Positive and negative emotions warp investment decisions. Whether hedging against intertemporal changes in their ability to bear risk or climbing a psychological hierarchy of needs, investors arrange their portfolios and financial affairs according to emotions and perceptions. Risk aversion and life-cycle theories of consumption provide possible solutions to the equity premium puzzle, an iconic financial mystery. Prospect theory has questioned the cogency of the efficient capital markets hypothesis. Behavioral portfolio theory arises from a psychological account of security, potential, and aspiration.
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James Ming Chen 作者作品表

eBook: Econophysics and Capital Asset Pricing: Splitting the Atom of Systematic Risk (DRM EPUB)

eBook: Econophysics and Capital Asset Pricing: Splitting the Atom of Systematic Risk (DRM PDF)

eBook: Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets (DRM PDF)

eBook: Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets (DRM EPUB)

eBook: Postmodern Portfolio Theory: Navigating Abnormal Markets and Investor Behavior (DRM PDF)

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