行为公司金融理论

行为公司金融理论行为公司金融理论
  1. 利用这一模型,文章综述了行为公司金融理论对企业投资扭曲行为进行解释的相关理论和实证文献,并将这种解释和传统的信息不对称及代理观点进行了比较。

    Using this model , the authors compare some traditional information and then further explain the related theories .

  2. 行为公司金融理论是公司金融理论和行为金融理论相互融合的产物。

    Behavioral corporate finance is the production that has integrated the theory of corporate finance and behavioral finance .

  3. 一.本文的主要内容:行为公司金融理论作为行为金融学的一个重要分支日益受到学者的重视。

    Behavioral corporate finance theory is an important branch of behavioral finance theory , which is attached importance to by lots of scholars in this field .

  4. 本文运用行为公司金融理论,针对中国股票市场特殊的市场环境、制度背景提出可检验假设,验证由投资者情绪导致的股票错误定价对我国上市公司实际投资的影响。

    Based on behavioral corporate financial theories , this paper examine the effect of investors sentiment on the real investment of China listed companies . The special market environment and the system background of the china stock market are we concerned .

  5. 将传统公司金融和行为公司金融的理论结合运用到对我国房地产企业投资问题的分析上。

    We combined traditional corporation economic theory and behavioral economic theory to the domestic over-investment analysis .