In one class of models, misperception of risk generates excessive demand for risky assets, housing and financial assets in particular.
一类模型是,对于风险的误读导致人们人们对于风险资产过度需求,尤其对诸如房地产以及某些金融资产的需求。
"Using TARP authority for any purpose other than purchasing risky assets from troubled financial institutions to address an emergency in our financial system is inappropriate and illegal," he said.
他称,“将TARP用作从陷入困境的金融机构收购风险资产、为金融系统救急以外的任何用途都是不合适的,也是违法的。”
Behavioral finance is the study of how investors allocate their risky assets when they face the uncertainty in accordance with the practitioners' behavior in the financial market.
行为金融学是以金融市场中投资人的真实行为为基础,研究人们在面对不确定性时如何进行资产配置的科学。
应用推荐