Results 31 to 40 of about 558,772 (299)

Heuristic biases and investment decisions: multiple mediation mechanisms of risk tolerance and financial literacy—a survey at the Tanzania stock market [PDF]

open access: yesJournal of Money and Business, 2021
Purpose – The purpose of this research is to examine the effect of heuristic biases on investment decisions through multiple mediation mechanisms of risk tolerance and financial literacy in the Tanzanian stock market.
Pendo Shukrani Kasoga
doaj   +1 more source

Know Your Clients' behaviours: a cluster analysis of financial transactions

open access: yes, 2020
In Canada, financial advisors and dealers are required by provincial securities commissions and self-regulatory organizations--charged with direct regulation over investment dealers and mutual fund dealers--to respectively collect and maintain Know Your ...
Feng, Longlong   +3 more
core   +1 more source

Demography factors, financial risk tolerance, and retail investors [PDF]

open access: yes, 2018
This study aims to understand the influence of demography factors, as an independent variable to the financial risk tolerance of retail investors who conduct stock investment transactions on the Indonesia Stock Exchange, as a dependent variable.
Mahadwartha, Putu Anom   +2 more
core   +1 more source

Pengaruh Financial Behavior, Risk Tolerance, Dan Financial Strain Terhadap Financial Satisfaction

open access: yesJurnal Manajerial Dan Kewirausahaan, 2020
The purpose of this research is to analyze the influence of Financial Behavior, Risk Tolerance and Financial Strain toward Financial Satisfaction. The subjects of this research are doctors in Jakarta. Sample was selected using convenience sampling method amounted to 150 respondents through spreading questionnaire online and going to doctor’s clinics ...
Meitasari Sherlyani   +1 more
openaire   +2 more sources

Does financial risk tolerance change over time?

open access: yesFinancial Services Review, 2023
Financial planners work in an environment that requires the documentation of a client’s financial attitudes and preferences. Financial risk tolerance is one such attitudinal construct that is generally required by regulators to be evaluated. While there are numerous commercial and academic products used to assess client risk attitudes, questions have ...
Stephen Kuzniak, John Grable
openaire   +1 more source

Pengaruh Financial Attitude, Financial Behavior, Financial Knowledge, dan Risk Tolerance terhadap Financial Satisfaction

open access: yesJurnal Manajerial Dan Kewirausahaan, 2020
The purpose of this study is to examine the effect of Financial Attitude, Financial Behavior, Financial Knowledge and Risk Tolerance on Financial Satisfaction. The sample in this study is all residents who already have income or income in the Jakarta area.
Olivia Sandra Wijaya   +1 more
openaire   +2 more sources

Influence of Financial Risk Tolerance on Investment Decision-making: A Conceptual Analysis and Future Research Agenda

open access: yesInternational Journal of Applied Research in Business and Management
Although extensive research has been conducted on financial risk tolerance and investment decision-making, there is a lack of consensus in the literature regarding the conceptualization of the role of financial risk tolerance in investment decision ...
E. B. Amponsah   +2 more
doaj   +1 more source

Pengaruh Tingkat Pendapatan, Literasi Keuangan dan Toleransi Risiko Terhadap Pembelian Saham

open access: yesJurnal Akuntansi, 2023
Society is required to manage its resources for future welfare. One solution is to invest in stocks. This research aims to determine income level, financial literacy, and risk tolerance influence stock purchasing decisions.
Jhon Rinendy   +2 more
doaj   +1 more source

Are family firms good employers? [PDF]

open access: yes, 2018
Family firms employ about 60 percent of the global workforce. While it is widely assumed that they are good employers, data about their conduct is mixed.
Neckebrouck, Jeroen   +2 more
core   +2 more sources

The Competitive Analysis of Risk Taking with Application to Online Trading [PDF]

open access: yes, 1997
Competitive analysis is concerned with minimizing a relative measure of performance. When applied to financial trading strategies, competitive analysis leads to the development of strategies with minimum relative performance risk.
Al-Binali, Sabah
core   +2 more sources

Home - About - Disclaimer - Privacy