MAXIM 发表于 2025-3-21 19:56:09

书目名称Applied Asset and Risk Management影响因子(影响力)<br>        http://impactfactor.cn/2024/if/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management影响因子(影响力)学科排名<br>        http://impactfactor.cn/2024/ifr/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management网络公开度<br>        http://impactfactor.cn/2024/at/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management网络公开度学科排名<br>        http://impactfactor.cn/2024/atr/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management被引频次<br>        http://impactfactor.cn/2024/tc/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management被引频次学科排名<br>        http://impactfactor.cn/2024/tcr/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management年度引用<br>        http://impactfactor.cn/2024/ii/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management年度引用学科排名<br>        http://impactfactor.cn/2024/iir/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management读者反馈<br>        http://impactfactor.cn/2024/5y/?ISSN=BK0159649<br><br>        <br><br>书目名称Applied Asset and Risk Management读者反馈学科排名<br>        http://impactfactor.cn/2024/5yr/?ISSN=BK0159649<br><br>        <br><br>

格子架 发表于 2025-3-21 21:19:58

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剥皮 发表于 2025-3-22 01:07:39

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Antarctic 发表于 2025-3-22 05:36:05

Stock Market Crashes,eristics of a crash. It presents historical crashes with a regional and a global impact. Among the former are the tulip mania, the South Sea bubble, the railway mania, the Souk Al-Manak crash, the Dubai real estate bubble, the Greek crisis and the flash crash of May 6, 2010, on the New York Stock Ex

macular-edema 发表于 2025-3-22 12:37:08

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motivate 发表于 2025-3-22 13:15:44

Investor Risk Perceptions and Investments: Recent Developments,anaging risk. Today, investors pay much more attention to tail risk management, and central banks put a stronger focus on drawdown risk. The key results which are based on surveys and field studies are presented broken down by EMEA regions and investor types, i.e., institutional investors, retail in

讨人喜欢 发表于 2025-3-22 20:35:45

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精美食品 发表于 2025-3-22 22:10:06

Explaining Stock Market Crashes: A Behavioral Finance Approach,ral biases on investment decisions. Key bi ases which are relevant for stock market crashes are introduced: availability bias, representativeness bias, herding bias, overoptimism bias, overconfidence bias, anchoring bias and prospect theory. The chapter ends with using these biases for explaining the October 1987 crash.

GROWL 发表于 2025-3-23 03:06:21

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reaching 发表于 2025-3-23 07:13:12

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查看完整版本: Titlebook: Applied Asset and Risk Management; A Guide to Modern Po Marcus Schulmerich,Yves-Michel Leporcher,Ching-Hwa Book 2015 Springer-Verlag Berlin