The purpose of this paper is to provide an explanation for the way the reality in the world of finance comes to be formed, among other things, by the theory of finance. It is based on the idea that financial behavior is not independent of the theory of finance. The paper, therefore, examines certain aspects of the academic field of finance. That is, it examines theories, PhD programs, journals, and conferences in academic finance. It notes that they adhere, almost exclusively, to a certain worldview, called the functionalist paradigm. Then, the paper discusses the role of finance graduates as employees of universities, corporations, and financial institutions in the practice of finance. In this way, the paper provides an explanation for the social construction of the world of finance.
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1 July 2004
Research Article|
July 01 2004
On the theory and practice of finance Available to Purchase
Kavous Ardalan
Kavous Ardalan
School of Management, Marist College, Poughkeepsie, New York, USA
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Publisher: Emerald Publishing
Online ISSN: 1758-6712
Print ISSN: 0306-8293
© Emerald Group Publishing Limited
2004
International Journal of Social Economics (2004) 31 (7): 684–705.
Citation
Ardalan K (2004), "On the theory and practice of finance". International Journal of Social Economics, Vol. 31 No. 7 pp. 684–705, doi: https://doi.org/10.1108/03068290410540882
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