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題名:陽光影響投資情緒?以臺灣股票市場為例
書刊名:臺灣金融財務季刊
作者:郭敏華 引用關係李謙
作者(外文):Kuo, Min-huaLee, Robert
出版日期:2005
卷期:6:2
頁次:頁35-51
主題關鍵詞:行為財務學陽光效應季節性情緒失調
原始連結:連回原系統網址new window
相關次數:
  • 被引用次數被引用次數:期刊(6) 博士論文(0) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:5
  • 共同引用共同引用:10
  • 點閱點閱:92
「陽光影響股市?」原本不見容於傳統財務經濟學的想法,隨著行為財務學(Behavioral Finance)的崛起,心理學理論進入財務學領域,為傳統的財務觀點開啟新視窗後,現在已開始受到重視。進入21紀紀以來,全球天災不斷,人類與大自然的關係,更是成為人類不能不嚴肅思考的議題。本文從行為財務學的觀點,檢視陽光與投資行為的關係,利用1986年至2000年之臺灣股市與氣候資料,採取GARCH(1,1)與聯立迴歸模型等實證方法進行分析,實證結果發現:臺北的陽光量確實是股市價量行為的重要影響因素,臺灣股市在陽光充足時,價量俱揚,支持心理學上對於個人情緒與思維受到陽光影響的主張。
Other
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期刊論文
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2.Kramer, R. M.、Newton, E.、Pommerenke, P. L.(1993)。Self-enhancement biases and negotiator judgment: Effects of self-esteem and mood。Organizational Behavior and Human Decision Processes,56(1),110-133。  new window
3.郭敏華、張瑞芬(20031200)。投資人出盈保虧行為偏誤之探討--臺灣與美國股市之比較。東海管理評論,6(1),31-49。new window  延伸查詢new window
4.Simon, Herbert(1959)。Theories of decision making in economics and behavioural science。American Economic Review,49(3),253-283。  new window
5.郭敏華、蔡世烈(20031200)。從行為財務學的觀點探討臺灣股市之從眾傾向。東海管理評論,6(1),51-71。new window  延伸查詢new window
6.Loughran, Tim、Schultz, Paul(2004)。Weather, stock returns, and the impact of localized trading behavior。Journal of Financial and Quantitative Analysis,39(2),343-364。  new window
7.Simon, H. A.(1979)。Information Processing Models of Cognition。Annual Review of Psychology,30(1),363-396。  new window
8.郭敏華、黃威智(2003)。投資人代表性捷思傾向之探討--以類似事件資訊效果之關聯性爲例。中華管理評論(國際學刊),6(4),34-49。  延伸查詢new window
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16.Simon, Herbert A.(1955)。A Behavioral Model of Rational Choice。The Quarterly Journal of Economics,69(1),99-118。  new window
17.Bollerslev, Tim、Chou, Ray Y.、Kroner, Kenneth F.(1992)。ARCH Modeling in Finance: A Review of the Theory and Empirical Evidence。Journal of Econometrics,52(1/2),5-59。  new window
18.Barber, Brad M.、Odean, Terrance(2001)。Boys Will Be Boys: Gender, Overconfidence, and Common Stock Investment。The Quarterly Journal of Economics,116(1),261-292。  new window
19.Fama, Eugene F.(1970)。Efficient Capital Markets: A Review of Theory and Empirical Work。The Journal of Finance,25(2),383-417。  new window
20.Sharpe, William F.(1964)。Capital Asset Prices: A Theory of Market Equilibrium under Conditions of Risk。The Journal of Finance,19(3),425-442。  new window
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22.Howarth, E.、Hoffman, M. S.(1984)。A Multidimensional Approach to the Relationship between Mood and Weather。British Journal of Psychological,75(1),15-23。  new window
會議論文
1.郭敏華、邱耀初、郭迺鋒、林孝恩(2004)。台灣投資人過度自信嗎?台灣投資人四期問卷調查。財務金融理論與實務研討會,真理大學財務金融學系〔主辦〕 。  延伸查詢new window
2.郭敏華、邱耀初、郭迺鋒、袁正達(2004)。台灣投資人經驗效應分析。  延伸查詢new window
3.郭敏華、劉泰谷(2003)。股票市場注意力效應:以全球奧運會與世界盃足球賽為例。行為財務學暨法學財務學學術研討會,世新大學財務金融學系〔主辦〕 。  延伸查詢new window
圖書
1.Simon, Herbert A.(1957)。Models of man: social and rational, mathematical essays on rational human behavior in society setting。New York, NY:John Wiley & Sons。  new window
2.Simon, Herbert A.(1961)。Administrative behavior。New York:Macmillan Co.。  new window
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12.Young, M. A., Meaden, P. M., Fogg, L. F., Cherin, E. A. and Eastman, C. I.(1997)。Which Environmental Variables are Related to the Onset of Seasonal Affective Disorder?。  new window
13.Yuan, K., Zheng, L. and Zhu, Q.(2001)。Are Investors Moonstruck? Lunar Phases and Stock Returns。  new window
 
 
 
 
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