Fourth, construct a power trader behavioral analysis model to analyze the possible behavior choice of power traders in the coexistence of stock market, bilateral market and finance derivant market.
第四,构建了电力交易者行为分析模型,分析了在现货市场、双边市场、金融衍生市场共存的情况下电力交易者可能的行为选择。
From behavioral finance point, the trading model of investment fund manager under the condition of overconfidence is advanced, and the variety of the returns and risk of investment fund is discussed.
从行为金融学角度,建立基金经理过度自信时的交易模型,分析基金收益和风险的动态变化。
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