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Abstract:
现代金融理论的重要理论基础之一是均衡理论.但金融市场是典型的非对称信息市场,且经常处于非均衡状态.于是,为适应这种变化,应用于金融市场的均衡理论也由一般均衡理论发展为不完备资产市场一般均衡理论、理性预期均衡理论和博弈均衡理论.
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Source :
福州大学学报(哲学社会科学版)
ISSN: 1002-3321
CN: 35-1048/C
Year: 2006
Issue: 3
Volume: 20
Page: 31-37
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SCOPUS Cited Count:
ESI Highly Cited Papers on the List: 0 Unfold All
WanFang Cited Count:
Chinese Cited Count:
30 Days PV: 4
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