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Behavioral finance: Finance with normal people
Behavioral finance is under construction as a solid structure of finance. It incorporates parts of standard finance, replaces others, and includes bridges between theory, evidence, and practice.
Meir Statman
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Essays on Behavioral Finance and Corporate Finance [PDF]
This Ph.D. dissertation consists of three independent chapters in behavioral finance and corporate finance. The first chapter examines whether and how ethnicity similarity between analysts and executives affect their interactions in conference calls.
Shen, Lingbo
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Essays on Behavioral Finance [PDF]
Despite the fact that almost everyone faces risk in their lives and it is a crucial ingredient in economic models including asset pricing models, it is still an open debate how decision-makers or even investors evaluate risk. Experimental and empirical evidence shows that the standard expected utility theory falls short of explaining many economic and ...
Neszveda, G.
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POST BEHAVIORAL FINANCE ADOLESCENCE [PDF]
The study of behavioral finance combines the investigation and expertise from research and practice into smart portfolios of individual investors’ portfolios.
ADRIAN MITROI
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Behavioral finance in theory and practice [PDF]
Behavioral finance is a new approach in finance literature. The main idea is that investors are not as rational as they are assumed to be. Therefore, financial markets could be better understood by using models that capture the effects of both rational ...
Okur, Mustafa, Gürbüz, Ali Osman
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Although previous studies have demonstrated that identity had effect on justice norms and behavioral decisions, the neural mechanism of that effect remains unclear.
Jiaxin Yu +3 more
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Behavioral Finance Research in 2020: Cui Bono et Quo Vadis? [PDF]
Emanating from the influential survey of Barberis and Thaler (2003), this systematic literature review examines the significant volume of studies on behavioral finance from 36 reputable finance journals published be-tween 2009 and 2019.
Katharina Fischer, Othmar Manfred Lehner
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Behavioral finance as an answer to the limitations of standard finance [PDF]
Moving the standard finance theory further away from practice has led to an increased criticism of standard finance. Much evidence in favor of the absence of perfect investor rationality have called for the need of a new approach and a new point of view ...
Leković Miljan
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Behavioral portfolio theory and behavioral asset pricing model as an alternative to standard finance concepts [PDF]
The growing gap between standard finance theory and practice has made way for the emergence of new theories and the development of new asset-pricing models.
Miljan Lekovic
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Behavioral Finance and how its Behavioral Biases Affect German Investors [PDF]
The growing discipline of behavioral finance has identified several biases that significantly impact individual investors' actions. This paper aims to evaluate the influence of behavioral biases on investing decision-making among German investors.
Schulz, Bastian
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