CFA Japan Seminar Announcement
Subject: “Application of Behavioral Finance”
Date: March 18th (Thu) 2010 from 19:00-20:30
Venue: Tokyo Shoken Kaikan (1-5-8 Kayaba-cho, Nihonbashi,Chuo-ku)
Language: Japanese
Specialty Focus Areas: Behavioral Finance
Speaker: Masashi Toshino, PhD, CFA, Senior Consultant at Daiwa Fund Consulting Co.
Outline:
Since Daniel Kahneman received the Nobel Prize in Economics in 2002, behavioral finance has been one of the hottest topics among academicians and practitioners related to investment. Although some money managers make use of its concepts in marketing their investment products, we should recognize its limit as well as its usefulness.
At the seminar, basic ideas of behavioral finance will be described. The speaker will then discuss on the availability of its concepts in understanding a sort of anomalies in securities markets, and behavioral biases of market participants and other decision makers. The speaker will conclude his talk by listing promising areas of applying behavioral finance.
Speaker :
Masashi Toshino, Senior Consultant at Daiwa Fund Consulting Co.
After graduating from the University of Tokyo, Masashi joined the Daiwa Securities Co. After working for its research-related subsidiaries, he moved to the current position. As a visiting lecturer, he has been teaching behavioral finance since 2004 at an MBA course of Waseda University. He also belongs to a few committees at the Securities Analyst Association of Japan.
Masashi received an MBA at the University of Chicago and a Ph.D. at the Waseda University.
He is an author (a co-author) of several books on such topics as stock options, market microstructure, behavioral finance, and basic investment theories.
Subject: 「行動ファイナンスの実務への応用」
Date: 2010年3月18日(木), 19:00-20:30
Venue: 東京証券会館9階 (東京都中央区日本橋茅場町1-5-8)
Language:
日本語
Specialty Focus Areas: 行動ファイナンス
Speaker: 俊野雅司(としのまさし)氏、PhD, CFA,㈱大和ファンド・コンサルティング シニアコンサルタント
Outline:
2002
今回のセミナーでは、行動ファイナンスの基礎概念の整理をしたうえで、証券市場におけるアノマリーや意思決定主体の行動上の歪みとの関連性について議論を行う予定。最後に、行動ファイナンスの有望な応用分野について言及する。
Speaker:
俊野雅司(としのまさし)
㈱大和ファンド・コンサルティング シニアコンサルタント
1981年東京大学法学部卒業、同年大和証券に入社。大和総研等を経て現職。早稲田大学商学学術院非常勤講師。日本証券アナリスト協会ジャーナル編集委員、同試験委員。シカゴ大学MBA、早稲田大学商学博士。
主な著書に『証券市場と行動ファイナンス』東洋経済新報社(2004年)、『証券投資理論入門』日本経済新聞社(共著、2000年)、『株式市場のマイクロストラクチャー』日本経済新聞社(共著、1998年)、『詳解 株式オプション』金融財政事情研究会(共著、1991年)等。