随着金融市场上各种异象的累积,经典金融理论受到了越来越严峻的挑战,金融学研究范式开始出现转换。当前,金融学研究呈现新的特点和趋势:从原来完全理性、线性的观点到有限理性、非线性的转变;从主要研究市场宏观层面到对市场微观结构进行研究的转变。
With the accumulation of various strange phenomena in the financial market,classic theories on finance have been more and more severely challenged,which results in the paradigm shift in financial studies.Currently new characteristics and trends are found in the shift from the former completely reasonable,linear view to the limited,non-linear view;as well as in the shift from researches on the macro dimensions of the market to the studies of the micro-structure of the market.