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                             66 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A Cat Bond Premium Puzzle? Bantwal, Vivek J.
2000
1 p. 76-91
artikel
2 Adaptive Portfolio Allocation with Options Benzion, Uri
2004
1 p. 43-56
artikel
3 A Detailed Prospect Theory Explanation of the Disposition Effect Dacey, Raymond
2008
1 p. 43-50
artikel
4 Ambiguity Aversion and Illusion of Control: Experimental Evidence in an Emerging Market Grou, Breno
2008
1 p. 22-29
artikel
5 A New Paradigm for Asset Pricing 2000
1 p. 3-9
artikel
6 Announcement 2003
1 p. 2
artikel
7 Are IPOs Priced Differently Based Upon Gender? Mohan, Nancy J.
2004
1 p. 57-65
artikel
8 Asset Markets Caginalp, Gunduz
2002
1 p. 37-43
artikel
9 Behavioral Finance: Back on the Road Again Craig, Earl
2006
1 p. 58
artikel
10 Bleed or Blowup? Why Do We Prefer Asymmetric Payoffs? Taleb, Nassim Nicholas
2004
1 p. 2-7
artikel
11 Blowing Bubbles Fisher, Kenneth L.
2002
1 p. 53-65
artikel
12 Book Review Lufkin, Eric
2002
1 p. 68-69
artikel
13 Book Review Olsen, Robert A.
2006
1 p. 63
artikel
14 Book Reviews Olsen, Robert A.
2003
1 p. 51-52
artikel
15 Book Reviews Olsen, Robert A.
2005
1 p. 41-42
artikel
16 Bubbles and the Role of Analysts' Forecasts Dreman, David
2002
1 p. 4-14
artikel
17 Bursting Bubbles: Linking Experimental Financial Market Results to Field Market Data Henker, Julia
2008
1 p. 5-14
artikel
18 Can Markets Learn to Avoid Bubbles? Miller, Ross M.
2002
1 p. 44-52
artikel
19 Cognitive Dissonance: The Problem Facing Behavioral Finance Olsen, Robert A.
2008
1 p. 1-4
artikel
20 Dividend and Taxes, Redux, … Again Frankfurter, George M.
2008
1 p. 30-42
artikel
21 Economic Data, Conventions, and Replication in Laboratory Asset Markets Anderson, Matthew J.
2003
1 p. 41-48
artikel
22 EDITORIAL 2000
1 p. 2
artikel
23 Editorial Commentary: Corporate Governance: Incentive, Conflict of Interest and Bias Sayrak, Akin
2005
1 p. 2-5
artikel
24 Giving Credit Where Credit is Due: The Psychology of Credit Ratings Perry, Vanessa Gail
2008
1 p. 15-21
artikel
25 Growth Optimization with Downside Protection: A New Paradigm for Portfolio Selection Kale, Jivendra K.
2006
1 p. 29-42
artikel
26 Identifying Heuristic Choice Rules in the Swedish Premium Pension Scheme Hedesstrom, Ted Martin
2004
1 p. 32-42
artikel
27 Imagery and Financial Judgment MacGregor, Donald G.
2002
1 p. 15-22
artikel
28 Individual Investor Preferences: A Segmentation Analysis Clark-Murphy, Marilyn
2005
1 p. 6-14
artikel
29 Introduction to the Institute's June 2001 Conference: A Multidisciplinary Approach to Understanding Bubbles Caginalp, Gunduz
2002
1 p. 2-3
artikel
30 Investor Overreaction: Evidence That Its Basis Is Psychological Dreman, David N.
2000
1 p. 61-75
artikel
31 Market Efficiency of Bubbles Camerer, Colin
2002
1 p. 29-36
artikel
32 Market Underreaction to Large Stock Price Declines: The Case of ADRs Benou, Georgina
2003
1 p. 21-32
artikel
33 Measuring Bubble Expectations and Investor Confidence Shiller, Robert J.
2000
1 p. 49-60
artikel
34 Motivational and Cognitive Determinants of Buy-Side and Sell-Side Analyst Earnings Forecasts: An Experimental Study Ashton, Robert H.
2007
1 p. 9-19
artikel
35 Numerical Information Format and Investment Decisions: Implications for the Disposition Effect and the Status Quo Bias Rubaltelli, Enrico
2005
1 p. 19-26
artikel
36 On Paul Slovic's The Perception of Risk Zweig, Jason
2001
1 p. 62-63
artikel
37 Overreactions, Momentum, Liquidity, and Price Bubbles in Laboratory and Field Asset Markets Caginalp, Gunduz
2000
1 p. 24-48
artikel
38 Perceptions of Successful Traders by Foreign Exchange Professionals Oberlechner, Thomas
2004
1 p. 23-31
artikel
39 Possibility of an Experimental Approach to Investment Studies Burrell, O. K.
2001
1 p. 57-61
artikel
40 Prediction Markets and the Financial "Wisdom of Crowds" Ray, Russ
2006
1 p. 2-4
artikel
41 Preference for Risk in Investing as a Function of Trait Optimism and Gender Felton, James
2003
1 p. 33-40
artikel
42 Prior Performance and Risk-Taking of Mutual Fund Managers: A Dynamic Bayesian Network Approach Ammann, Manuel
2007
1 p. 20-34
artikel
43 Professor Burrell's Proposal for a Behavioral Finance: Some Reflections Olsen, Robert A.
2001
1 p. 54-56
artikel
44 Research Elsewhere Olsen, Robert A.
2002
1 p. 66-67
artikel
45 Research Elsewhere Olsen, Robert A.
2006
1 p. 59-62
artikel
46 Research Elsewhere Olsen, Robert A.
2003
1 p. 49-50
artikel
47 Research Elsewhere Olsen, Robert A.
2004
1 p. 66-68
artikel
48 Research Elsewhere Olsen, Robert A.
2005
1 p. 38-40
artikel
49 Self is Never Neutral: Why Economic Agents Behave Irrationally Gao, Lei
2005
1 p. 27-37
artikel
50 Some Determinants of the Socially Responsible Investment Decision: A Cross-Country Study Williams, Geoffrey
2007
1 p. 43-57
artikel
51 Stock Market Bubbles in the Laboratory Porter, David P.
2003
1 p. 7-20
artikel
52 Subject Perceptions of Confidence and Predictive Validity in Financial Information Cues Evans, Dorla A.
2006
1 p. 12-28
artikel
53 Switching Investments Can Be a Bad Idea When Parrondo's Paradox Applies Spurgin, Richard
2005
1 p. 15-18
artikel
54 The Changing Nature of the Initial Public Offering Market Loughran, Timothy
2002
1 p. 23-28
artikel
55 The Demographics of Overconfidence Bhandari, Gokul
2006
1 p. 5-11
artikel
56 The Effect of Ex Ante Price on Momentum Profits Onayev, Zhan
2004
1 p. 8-22
artikel
57 The Effects of Subject Pool and Design Experience on Rationality in Experimental Asset Markets Ackert, Lucy F.
2001
1 p. 6-28
artikel
58 The Foundations of Experimental Economics and Applications to Behavioral Finance: The Contributions of Nobel Laureate Vernon Smith Caginalp, Gunduz
2003
1 p. 3-6
artikel
59 The Influence of Gender on the Perception and Response to Investment Risk: The Case of Professional Investors Olsen, Robert A.
2001
1 p. 29-36
artikel
60 The Platonic Foundations of Finance and the Interpretation of Finance Models McGoun, Elton G.
2006
1 p. 43-57
artikel
61 The Psychology of Financial Decision-Making: Applications to Trading, Dealing, and Investment Analysis Hilton, Denis J.
2001
1 p. 37-53
artikel
62 The Real Year 2000 Problem: Investor Psychology Caginalp, Gunduz
2001
1 p. 2-5
artikel
63 Thought Contagions in the Stock Market Lynch, Aaron
2000
1 p. 10-23
artikel
64 Volatility in Returns from Trading Heaney, Richard
2007
1 p. 35-42
artikel
65 When Cultures Collide: Social Security and the Market O'Barr, William M.
2000
1 p. 92-100
artikel
66 Yes, Wall Street, There Is A January Effect! Evidence from Laboratory Auctions Anderson, Lisa R.
2007
1 p. 1-8
artikel
                             66 gevonden resultaten
 
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