[{"data":1,"prerenderedAt":16},["ShallowReactive",2],{"chapter-sitca_invest-c7":3},{"examName":4,"chapter":5,"questions":10},"投信投顧業務員資格測驗——證券投資與財務分析",{"name":6,"sort":7,"count":8,"slug":9},"效率市場假說",7,1,"c7",[11],{"id":12,"qno":13,"question":14,"session":15},"sitca_invest-115-1-021",21,"某投資人在前一季的期貨交易中連續虧損，之後對任何高風險投資都變得極度謹慎，甚至連報酬穩定的商品也不敢投入。這種在經歷損失後對風險產生過度畏懼的行為，最能以哪一種行為財務理論解釋？","115-1",1784190277436]