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金融市场中不存在唯一的理性决策策略

There Is No Unique Rational Decision Strategy in Financial Markets

The Journal of Portfolio Management · 2022
被引 0
人大 BABS 3

中文导读

质疑金融经济学中流行的机械论范式,指出信息与投资表现之间并非线性关系,强调市场是复杂系统,应采用基于主体的模拟方法研究,并认为不存在投资成功的万能策略。

Abstract

Most people will agree that markets are complex systems, but they usually pay just lip service to it. Until now, in financial economics, a mechanics paradigm has prevailed. Taking complexity seriously, some fundamental convictions have to be questioned. For an investor, the relationship between information and performance cannot be linear: a lousy analyst may systematically outperform a highly skilled one; if investors stop to gather information, the market may improve its informational efficiency; if the quality of financial reporting is improved, its addressees are not better off; and so on. If we want to understand markets, we have to address market systems, in which autonomous agents act independently and not as representative agents who all take the same actions. The most appropriate methodology to achieve this goal is agent-based simulation. There is no silver bullet for investment success. This holds, too, for the widespread belief that one should be well-informed before making investment decisions.

金融经济学行为经济学复杂系统投资决策市场效率