Review of Behavioral Finance: Volume 10 Issue 3

Subject:

Table of contents - Special Issue: BFWG 2017 conference

Guest Editors: Darren Duxbury

Revisiting the three factor model in light of circular behavioural simultaneities

Stelios Bekiros, Nikolaos Loukeris, Iordanis Eleftheriadis, Gazi Uddin

The authors construct asset portfolios comprising small-sized companies and value stocks that provide with higher returns for the UK market based on a three-factor model with…

Local clientele: geography and comovement of stock returns

Vahap Uysal, Seth Hoelscher

Local investors have the ability to impact the stock prices and returns of local firms. However, the impact of news made by a firm on local investors and neighboring companies is…

Corporate risk and the humpback of CEO narcissism

Tom Aabo, Nicklas Bang Eriksen

The purpose of this paper is to investigate the association between CEO narcissism and corporate risk taking.

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Young adults’ subjective and objective risk attitude in financial decision making: Evidence from the lab and the field

Andreas Oehler, Matthias Horn, Florian Wedlich

The purpose of this paper is to derive the determinants of young adults’ subjective and objective risk attitude in theoretical and real-world financial decisions. Furthermore, a…

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Cover of Review of Behavioral Finance

ISSN:

1940-5979

Online date, start – end:

2009

Copyright Holder:

Emerald Publishing Limited

Open Access:

hybrid

Editor:

  • Professor Gulnur Muradoglu