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Judul Financial Market Analysis and Behaviour / Emil Dinga, Camelia Oprean-Stan, Cristina-Roxana T?n?sescu, Vasile Br?tian and Gabriela-Mariana Ionescu
Pengarang Dinga, Emil
Oprean-Stan, Camelia
Tanasescu, Cristina-Roxana
Bratian, Vasile
Ionescu, Gabriela-Mariana
EDISI 1st Edition
Penerbitan London : Routledge, 2022
Deskripsi Fisik 298 p. :ill.
ISBN 9781003283690
Subjek ECONOMICS, FINANCE
BUSINESS AND INDUSTRY
MATHEMATICS AND STATISTICS
RESEARCH METHODS
Catatan This book addresses the functioning of financial markets, in particular the financial market model, and modelling. More specifically, the book provides a model of adaptive preference in the financial market, rather than the model of the adaptive financial market, which is mostly based on Popper's objective propensity for the singular, i.e., unrepeatable, event. As a result, the concept of preference, following Simon's theory of satisficing, is developed in a logical way with the goal of supplying a foundation for a robust theory of adaptive preference in financial market behavior. The book offers new insights into financial market logic, and psychology: 1) advocating for the priority of behavior over information - in opposition to traditional financial market theories; 2) constructing the processes of (co)evolution adaptive preference-financial market using the concept of fetal reaction norms - between financial market and adaptive preference; 3) presenting a new typology of information in the financial marke
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Lokasi Akses Online https://www.taylorfrancis.com/books/mono/10.4324/9781003283690

 
No Barcode No. Panggil Akses Lokasi Ketersediaan
010823292 332.632 042 Fin Baca Online Perpustakaan Pusat - Online Resources
Ebook
Tersedia
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245 # # $a Financial Market Analysis and Behaviour /$c Emil Dinga, Camelia Oprean-Stan, Cristina-Roxana T?n?sescu, Vasile Br?tian and Gabriela-Mariana Ionescu
250 # # $a 1st Edition
260 # # $a London :$b Routledge,$c 2022
300 # # $a 298 p. : $b ill.
505 # # $a This book addresses the functioning of financial markets, in particular the financial market model, and modelling. More specifically, the book provides a model of adaptive preference in the financial market, rather than the model of the adaptive financial market, which is mostly based on Popper's objective propensity for the singular, i.e., unrepeatable, event. As a result, the concept of preference, following Simon's theory of satisficing, is developed in a logical way with the goal of supplying a foundation for a robust theory of adaptive preference in financial market behavior. The book offers new insights into financial market logic, and psychology: 1) advocating for the priority of behavior over information - in opposition to traditional financial market theories; 2) constructing the processes of (co)evolution adaptive preference-financial market using the concept of fetal reaction norms - between financial market and adaptive preference; 3) presenting a new typology of information in the financial market, aimed at proving point (1) above, as well as edifying an explicative mechanism of the evolutionary nature and behavior of the (real) financial market; 4) presenting sufficient, and necessary, principles or assumptions for developing a theory of adaptive preference in the financial market; and 5) proposing a new interpretation of the pair genotype-phenotype in the financial market model. The book's distinguishing feature is its research method, which is mainly logically rather than historically or empirically based. As a result, the book is targeted at generating debate about the best and most scientifically beneficial method of approaching, analyzing, and modelling financial markets
650 # # $a BUSINESS AND INDUSTRY
650 # # $a ECONOMICS, FINANCE
650 # # $a MATHEMATICS AND STATISTICS
650 # # $a RESEARCH METHODS
700 1 # $a Bratian, Vasile
700 1 # $a Dinga, Emil
700 1 # $a Ionescu, Gabriela-Mariana
700 1 # $a Oprean-Stan, Camelia
700 1 # $a Tanasescu, Cristina-Roxana
856 # # $a https://www.taylorfrancis.com/books/mono/10.4324/9781003283690
990 # # $a 010823292
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