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采用经济学实验研究方法研究资本市场的泡沫问题,可以解决一些传统实证方法所无法解决的问题。实验研究者通过人为地控制并逐个改变因素,达到对影响泡沫的因素进行分离研究的目的,同时通过重复实验来检验理论的有效性。本文介绍了资本市场泡沫实验的基本设计框架,并从七个方面对已有的实验研究成果进行总结。
Using the economic experimental research method to study the bubble of the capital market can solve the problems that some traditional empirical methods can not solve. Experimental researchers through artificially controlled and one by one to change the factors to achieve the purpose of separation of the factors that affect the bubble to achieve the same time through repeated experiments to test the validity of the theory. This paper introduces the basic design framework of capital market bubble experiment and summarizes the existing experimental research results from seven aspects.