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Behavioural Finance: A Review and Synthesis [PDF]
Abstract I provide a synthesis of the Behavioural finance literature over the past two decades. I review the literature in three parts, namely, (i) empirical and theoretical analyses of patterns in the cross‐section of average stock returns, (ii) studies on trading activity, and (iii) research in corporate finance.
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Behavioural Economics and Finance
2013Behavioural economics and behavioural finance are rapidly expanding fields that are continually growing in prominence. While orthodox economic models are built upon restrictive and simplifying assumptions about rational choice and efficient markets, behavioural economics offers a robust alternative using insights and evidence that rest more easily with
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Global Business Review, 2019
In this study, the impact of behavioural finance on investment decision-making using a selected investment banks was investigated. A total of 200 questionnaire items were administered to the respondents of the four surveyed investment banks including ...
Olubunmi Edward Ogunlusi, O. Obademi
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In this study, the impact of behavioural finance on investment decision-making using a selected investment banks was investigated. A total of 200 questionnaire items were administered to the respondents of the four surveyed investment banks including ...
Olubunmi Edward Ogunlusi, O. Obademi
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International Journal of Economics and Business Research, 2019
This article proposes an improved model of individual investor segmentation. The approach employed consisted of a broad review of studies published in renowned journals in recent decades on the segmentation of individual customers of financial services ...
Ronaldo Deccax, Carlos Heitor Campani
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This article proposes an improved model of individual investor segmentation. The approach employed consisted of a broad review of studies published in renowned journals in recent decades on the segmentation of individual customers of financial services ...
Ronaldo Deccax, Carlos Heitor Campani
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The financing behaviour of listed Chinese firms
The British Accounting Review, 2006This paper examines the corporate financing behaviour of listed companies in the People's Republic of China. Our results suggest that some determinants of firm leverage (e.g., size, asset tangibility, growth opportunities and profitability) commonly cited in studies on developed economies also appear to be important in China.
Xiao, JZ, Zou, H
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Behavioural Finance: A New Paradigm to Explain Momentum Effect
, 2016During the 1970’s, the standard finance theory of market efficiency became the model of market behaviour accepted by the majority of academicians. Fama (1970,1991) demonstrated that in securities market, populated by well informed investors, investment ...
R. Dhankar, S. Maheshwari
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Behavioural finance and the macroprudential dimension
Journal of Banking Regulation, 2016This article poses the question whether the insights of behavioural research in finance could inform use of the macroprudential toolkit to be employed in order to counter risk to the financial system and promote stability with in financial markets. It concludes that our understanding of the interplay between micro behaviours in financial markets and ...
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Geldpolitik und Behavioral Finance [PDF]
Das vorliegende Papier behandelt die Rückwirkungen der Erkenntnisse der Behavioural Finance auf die Geldpolitik. Nach einer Begriffsdefinition und abgeleiteten generellen Implikationen werden speziell die Indikatorebene und der Transmissionsprozess der Geldpolitik dahingehend analysiert.
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Security Analysis and Portfolio Management, 2021
Shveta Singh, Surendra S. Yadav
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Shveta Singh, Surendra S. Yadav
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