节点文献
行为金融视角下的我国上市公司兼并重组风险分析
Analysis on the Risk of Annexation and Recombination of the Listed Company in Our Country from the View of Behavioral Finance
【摘要】 在我国上市公司兼并重组的过程中,产生了一些非理性的行为,导致风险的发生。传统金融理论对此的分析解释面临较大的局限性,而现代行为金融学以全新的视角,从过度自信、羊群行为、时间偏好、过度反应等方面可以对我国上市公司兼并重组风险进行较好的分析和阐述。
【Abstract】 In the process of annexation and recombination of the listed company in our country, some non-rational behavior has occurred, which causes the risk. Traditional finance theory is faced with bigger limitation in analyzing this phenomenon, but the modern behavioral finance theory, from the brand-new angle of view, and from the aspects of overconfidence, herd-behavior, time-preference,overreaction and so on, carries on a better analysis and expatiation on the risk of annexation and recombination of the listed company in our country.
【关键词】 上市公司;
兼并重组;
过度自信;
羊群行为;
时间偏好;
过度反应;
【Key words】 listed company; annexation and recombination; overconfidence; herd-behavior; time-preference; overreaction;
【Key words】 listed company; annexation and recombination; overconfidence; herd-behavior; time-preference; overreaction;
- 【文献出处】 科技情报开发与经济 ,Sci-Tech Information Development & Economy , 编辑部邮箱 ,2006年22期
- 【分类号】F276.6
- 【被引频次】2
- 【下载频次】282