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亚洲金融危机——行为金融学的剖析 被引量:12

亚洲金融危机——行为金融学的剖析
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摘要 本文试图从行为金融学的角度,分析亚洲金融危机的成因,以期回答为什么类似的金融危机会在新兴市场接连不断地发生。对亚洲金融危机所做的剖析,其最终目的是要引起人们对金融风险的更深层次的认知,进而对中国的金融市场起到警示作用。本文提出了从全球化的角度建立相关调控制度和合作机制,并应用行为金融学理论。 The paper tries to use behavioural finance theories to find out the reason of Asia finance crisis, and tries to answer the question why the crisis occurred continuously in emerging markets of East Asia.The paper recommends regulation and cooperation at international level.And behavioural finance should be applied to the establishment of financial crisis prevention mechanism.
机构地区 南京财经大学
出处 《金融研究》 CSSCI 北大核心 2005年第8期163-170,共8页 Journal of Financial Research
关键词 行为金融学 准理性 惊恐 狂躁 金融危机 Behavioural Finance;Quasi- rationality;Panics;Manias;Financial Crisis
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参考文献8

  • 1陈志武.《希勒教授对行为经济学的探究》[N].经济观察报,2003.
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  • 3Barberis, N. and R.Thaler (2001):"A survey of behavioural finance", working paper.
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  • 6Asian Development Bank (1998):"Asian Developent Outlook",Oxford University Press.
  • 7Madrick, Jeff (2000)," Once widely held' efficient markets' theory is questioned, "The New York Times, August 3.
  • 8Rosenbcrger, Leif (2000), "Asia' s new economic volatility" , Journal of EastAsian Affairs, 14.

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