Evaluation of behavioral biases affecting investment decision making of individual equity investors by fuzzy analytic hierarchy process
来源期刊:Review of Behavioral FinanceDOI:10.1108/rbf-03-2019-0044
Elucidating investors rationality and behavioural biases in Indian stock market
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-04-2018-0034
Investors’ risk aversion integration and quantitative easing
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-02-2019-0027
Propensity toward indebtedness: evidence from Malaysia
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-05-2017-0046
A note on the technology herd: evidence from large institutional investors
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-08-2017-0086
Psychological barriers in the cryptocurrency market
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-03-2019-0041
Investor attention using the Google search volume index – impact on stock returns
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-04-2018-0033
Investor sentiment antecedents: A structural equation modeling approach in an emerging market context
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-07-2017-0068
Skin in the game – investor behavior in asset pricing, the Indian context
来源期刊:Review of Behavioral FinanceDOI:10.1108/rbf-10-2019-0138
Journal of Behavioral Finance in retrospect: A review of its publications as a case in behavioral finance
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-06-2018-0059
Sharia-compliance and investment-cash flow sensitivity in oil rich countries
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-03-2018-0024
Influence of economic freedom and its subcomponents on risk-taking behavior: Evidence from dual banking system of Malaysia
来源期刊:Review of Behavioral FinanceDOI:10.1108/rbf-09-2019-0119
Sports sentiment and behavior of stock prices: a case of T-20 and IPL cricket matches
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-04-2018-0043
Individual investors’ sophistication and expectations of risk and return
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-08-2017-0087
Cumulative Prospect Theory and Deferred Annuities
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-10-2017-0102
Financing and signaling decisions under asymmetric information: an experimental study
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-06-2017-0055
Does response time predict withdrawal decisions? Lessons from a bank-run experiment
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-07-2018-0070
Sunflower management and life insurance: modeling the CEO’s utility function
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-05-2018-0053
Learning is a social activity
来源期刊:Review of Behavioral FinanceDOI:10.1108/rbf-10-2019-0149
Earnings forecast revisions and securities prices evolution in the Tunisian stock market
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-03-2018-0025
Disposition effect and multi-asset market dynamics
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-01-2018-0003
Behavioral biases in pension fund trustees’ decision making
来源期刊:Review of Behavioral FinanceDOI:10.1108/rbf-05-2018-0049
The unspoken facets of buying by individual investors in Indian stock market
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-12-2017-0121
Do overconfident CEOs stay out of trouble? Evidence from employee litigations
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-03-2018-0027
Risk estimation bias and mutual fund performance
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-03-2018-0023
Predictable patterns following large price changes and volume: Evidence from the Indian stock market
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-06-2018-0058
Determinants of individual savings among Tanzanians
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-05-2018-0045
Optimism-pessimism effects on money demand: theory and evidence
来源期刊:Review of Behavioral FinanceDOI:10.1108/RBF-06-2018-0061