金融研究方法的组合

V. Morozov
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引用次数: 0

摘要

本文分析了数学建模作为金融研究的一种方法论,在今天是相当有限和过时的。研究了金融行为科学领域引入附加方法论的方向。揭示了预测投资者反应的行为方法;考虑到金融市场如何帮助国家配置资源和确保长期经济稳定的一般问题;有助于改善财务和投资决策的过程。将行为模型引入金融科学的有用性得到了证实,它与数学建模相结合,将允许这一领域的重大更新。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Combination of Financial Research Methodologies
The article analyzes mathematical modeling as a methodology for the study of finance, which today is quite limited and outdated. The directions of the introduction of additional methodology in the field of finance — behavioral science are studied. The behavioral methodology is revealed for: predicting the reaction of investors; considering the general question of how financial markets help the country in allocating resources and ensuring long-term economic stability; contributing to improving the process of making financial and investment decisions. The usefulness of introducing behavioral models into financial science is substantiated, which in combination with mathematical modeling will allow for significant updates in this area.
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