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本文希望利用行为金融学、心理学、博弈论等,突破现有的均衡理论和有效市场假说的束缚,探寻金融市场波动的特征。最终本文得铁的纪律才是投资成功的必要条件。
This article hopes to use the behavioral finance, psychology, game theory, etc., to break the shackles of the existing equilibrium theory and effective market hypothesis to explore the characteristics of financial market volatility. The final ironclad discipline is a necessary condition for investment success.