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- Finance Theory in Continuous Time. 时间连续金融理论。
- Markowitz portfolio theory has become the footstone of modem finance theory. 摘要马柯维茨的投资组合理论奠定了现代金融理论的基石。
- Finance theory prescribes holding well-diversified portfolios to reduce the overall risk of your investments. 金融学理论主张通过持有多样化的投资组合来降低投资风险。
- The findings is inconsistent with the mainline analysis of Western finance theory. 这一结论似乎与西方财务学对债务治理效应的主流分析不符。
- 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. 有效市场假说(Efficient Market Hypothesis,简称EMH)是现代证券市场理论体系的支柱之一,也是现代金融经济学的理论基石之一,但他在不断获得支持的同时也引起了各种争论。
- So,it is imperative that China's public finance theory need to transcend the boundary of the main stream neoclassic th... 我国公共财政理论需要超越西方主流经济学及其公共财政学的制度既定观,以进一步推进我国公共财政理论的发展。
- This one concept extended the research range of cameralistics greatly, be helpful for the development of finance theory, practice and education. 这一概念大大拓展了财政学的研究范围,有利于财政理论、实践和教学的发展。
- The capital structure theory is a very complex question in the firm finance theory, and has been the important topic since long ago. 资本结构理论是企业金融理论中一个非常重要而复杂的问题,也是一个长期以来争论不休的话题。
- 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. 摘要传统主流金融理论是建立在西方经济学基础上的,投资者理性是贯穿始终的核心假设,不同模型对理性的定义有所不同。
- 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... 实际应用的金融理论将证明,在一流的例子,模拟演习,并在各个项目的咖啡厅,中心的应用金融教育。
- The behavioral finance theory seems more persuadable when facing some insoluble phenomenon such as Herd Behavior, Paradox of redemption, Fund discounts. 在面对传统金融理论难以解释的“羊群行为”、“赎回悖论”、“基金折价”等现象时,行为金融学理论相对来说更显说服力。
- 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. 传统金融理论建立在有效市场假说(EMH)和资本资产定价模型(CAPM)两大基石之上,其模型和范式局限在“理性”的分析框架中,忽视了对投资者实际决策行为的分析。
- 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. 该理论认为证券市场中的投资者属于“有限理性人”,其行为或多或少地存在着非理性,因而容易出现行为偏差。
- the development of finance theory 金融发展理论
- 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. 在这种情况下,研究西方企业并购融资理论,借鉴其先进经验,加强并购融资中企业行为的研究,对于促进当前国内并购融资发展具有重要的现实意义。
- 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. 与传统的企业融资理论及西方发达市场经济国家的融资实践相比,我国上市公司的融资行为是反常的,由此形成的债务资本结构也是扭曲的。
- LSV Asset Management, Fuller &Thaler Asset Management, David Dreman and Ken Fisher are some money managers that invest based on behavioral finance theories. 相当部分投资者的决策依靠的是直觉而非精确的计算,即便精确的计算也会出现偏差。
- 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. 正文首先对已有的并购融资理论进行了阐述,认为在并购融资模式选择时,企业应寻求最佳的资本结构,以最低的成本产生足够大的控制力;
- He is a well-known expert in finance. 他是知名的金融专家。
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