Special issue on Survey use in finance

Journal of Risk Finance

ISSN: 1526-5943

Article publication date: 1 January 2006

236

Citation

(2006), "Special issue on Survey use in finance", Journal of Risk Finance, Vol. 7 No. 1. https://doi.org/10.1108/jrf.2006.29407aaa.003

Publisher

:

Emerald Group Publishing Limited

Copyright © 2006, Emerald Group Publishing Limited


Special issue on Survey use in finance

Guest EditorKaryn Neuhauser, George Washington University

Deadline 31 March, 2006

The International Journal of Managerial Finance invites paper submissions for a special issue that uses survey data to examine the financial decision making process. Research examining issues on survey design for financial applications is also encouraged, along with papers that examine the appropriateness and value of survey data for managerial finance:

Topics

Topics suitable for this special issue include, but are not limited to, the following:

  • Assessment of the value of surveys in understanding managerial decision making (e.g. in choosing a particular financial evaluation system over another, in setting financial policy)

  • Examination of investor motives in securities markets Financial Advising Skills: what are the primary motives of financial advisors when recommending different mutual funds for investment

  • Evaluation of the legitimacy of using survey data to generalize investor sentiment in financial markets

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