nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
A Behavioral Approach To Efficient Portfolio Formation
|
Gulnur Muradoglu, Yaz |
|
2005 |
|
4 |
p. 202-212 |
artikel |
2 |
A Literature Review of Social Mood
|
Olson, Kenneth R. |
|
2006 |
|
4 |
p. 193-203 |
artikel |
3 |
An Experimental Study of the Disposition Effect: Evidence From Macau
|
Chui, Peter M. W. |
|
2001 |
|
4 |
p. 216-222 |
artikel |
4 |
An Intimate Portrait of the Individual Investor
|
Durand, Robert B. |
|
2008 |
|
4 |
p. 193-208 |
artikel |
5 |
Are Malaysian Investors Rational?
|
Lai, Ming-Ming |
|
2001 |
|
4 |
p. 210-215 |
artikel |
6 |
Book Review
|
Olsen, Robert |
|
2002 |
|
4 |
p. 246-247 |
artikel |
7 |
Book Review
|
Olsen, Robert A. |
|
2003 |
|
4 |
p. 241-242 |
artikel |
8 |
Book Reviews
|
|
|
2006 |
|
4 |
p. 234-235 |
artikel |
9 |
Book Reviews
|
Felton, James |
|
2001 |
|
4 |
p. 225-227 |
artikel |
10 |
Book Reviews
|
Olsen, Robert A. |
|
2005 |
|
4 |
p. 217-219 |
artikel |
11 |
Bubble Jr.
|
Dreman, David |
|
2003 |
|
4 |
p. 188-190 |
artikel |
12 |
"Buy on the Rumor:" Anticipatory Affect and Investor Behavior
|
Peterson, Richard L. |
|
2002 |
|
4 |
p. 218-226 |
artikel |
13 |
Commissions Matter: The Trading Behavior of Institutional and Individual Active Traders
|
Garvey, Ryan |
|
2004 |
|
4 |
p. 214-221 |
artikel |
14 |
Day Traders and the Disposition Effect
|
Jordan, Douglas |
|
2004 |
|
4 |
p. 192-200 |
artikel |
15 |
Derivation of Asset Price Equations Through Statistical Inference
|
Caginalp, Gunduz |
|
2003 |
|
4 |
p. 217-224 |
artikel |
16 |
Do Investors Expect Higher Returns From Safer Stocks Than From Riskier Stocks?
|
Shefrin, Hersh |
|
2001 |
|
4 |
p. 176-181 |
artikel |
17 |
Earnings per Share: Stylized Facts and New Paradigms
|
Pelaez, Rolando F. |
|
2007 |
|
4 |
p. 198-208 |
artikel |
18 |
Editorial Commentary: Trust, Complexity and the 1990s Market Bubble
|
Olsen, Robert |
|
2004 |
|
4 |
p. 186-191 |
artikel |
19 |
Effects of Managerial Discretion in Fair Value Accounting Regulation and Motivational Incentives to “Go Along” with Management on Analysts' Expectations and Judgments
|
McEwen, Ruth Ann |
|
2008 |
|
4 |
p. 240-251 |
artikel |
20 |
ERRATUM
|
|
|
2005 |
|
4 |
p. 220 |
artikel |
21 |
Exuberant Irrationality: Judging Financial Books by their Covers
|
Coors, Andrew |
|
2006 |
|
4 |
p. 186-192 |
artikel |
22 |
Gender Stereotypes in Advisors' Clinical Judgments of Financial Risk Tolerance: Objects in the Mirror Are Closer than They Appear
|
Roszkowski, Michael J. |
|
2005 |
|
4 |
p. 181-191 |
artikel |
23 |
Herding in the Italian Stock Market: A Case of Behavioral Finance
|
Caparrelli, Franco |
|
2004 |
|
4 |
p. 222-230 |
artikel |
24 |
Hindsight Bias and Individual Risk Attitude within the Context of Experimental Asset Markets
|
El-Sehity, Tarek |
|
2002 |
|
4 |
p. 227-235 |
artikel |
25 |
Information-Adjusted Noise Model: Evidence of Inefficiency on the Australian Stock Market
|
Ramiah, Vikash |
|
2007 |
|
4 |
p. 209-224 |
artikel |
26 |
Investor Confidence and Returns Following Large One-Day Price Changes
|
Sturm, Ray R. |
|
2003 |
|
4 |
p. 201-216 |
artikel |
27 |
Mad Cows, Mad Corn, & Mad Money: Applying What We Know About the Perceived Risk of Technologies to the Perceived Risk of Securities
|
Finucane, Melissa L. |
|
2002 |
|
4 |
p. 236-243 |
artikel |
28 |
Managerial Overoptimism and the Choice Between Debt and Equity Financing
|
Gombola, Michael |
|
2007 |
|
4 |
p. 225-235 |
artikel |
29 |
Measuring the Impact of Behavioral Traders on the Market for Closed-End Country Funds
|
Kelley, Hugh |
|
2004 |
|
4 |
p. 201-213 |
artikel |
30 |
Mimicking Behavior in Repurchase Decisions
|
Cudd, Mike |
|
2006 |
|
4 |
p. 222-229 |
artikel |
31 |
Momentum, Rational Agents and Efficient Markets
|
Crombez, John |
|
2001 |
|
4 |
p. 190-200 |
artikel |
32 |
Orientation Toward Finances: Development of a Measurement Scale
|
Loix, Ellen |
|
2005 |
|
4 |
p. 192-201 |
artikel |
33 |
Predicting Relative Performance in Economic Competition
|
Hales, Jeffrey |
|
2008 |
|
4 |
p. 187-192 |
artikel |
34 |
Recall of Financial Information for Investment Decisions: The Impact of Encoding Specificity and Mental Imagery
|
Ryack, Kenneth |
|
2006 |
|
4 |
p. 214-221 |
artikel |
35 |
Regression to the Mean: One of the Most Neglected but Important Concepts in the Stock Market
|
Murstein, Bernard I. |
|
2003 |
|
4 |
p. 234-237 |
artikel |
36 |
Research Elsewhere
|
Olsen, Robert A. |
|
2001 |
|
4 |
p. 223-224 |
artikel |
37 |
Research Elsewhere
|
Olsen, Robert A. |
|
2006 |
|
4 |
p. 230-233 |
artikel |
38 |
Research Elsewhere
|
Olsen, Robert A. |
|
2004 |
|
4 |
p. 231-232 |
artikel |
39 |
Research Elsewhere
|
Olsen, Robert A. |
|
2002 |
|
4 |
p. 244-245 |
artikel |
40 |
Research Elsewhere
|
Olsen, Robert A. |
|
2003 |
|
4 |
p. 238-240 |
artikel |
41 |
Research Elsewhere
|
Olsen, Robert A. |
|
2005 |
|
4 |
p. 213-216 |
artikel |
42 |
Riding the Wave of Sentiment: An Analysis of Return Consistency as a Predictor of Future Returns
|
Watkins, Boyce |
|
2003 |
|
4 |
p. 191-200 |
artikel |
43 |
Risk Aversion and Personality Type
|
Filbeck, Greg |
|
2005 |
|
4 |
p. 170-180 |
artikel |
44 |
Simple and Complex Market Inefficiencies: Integrating Efficient Markets, Behavioral Finance, and Complexity
|
Peters, Edgar |
|
2003 |
|
4 |
p. 225-233 |
artikel |
45 |
Status Quo Bias and the Number of Alternatives: An Empirical Illustration from the Mutual Fund Industry
|
Kempf, Alexander |
|
2006 |
|
4 |
p. 204-213 |
artikel |
46 |
Stock Analysts: Experts on Whose Behalf?
|
Bruce, Brian |
|
2002 |
|
4 |
p. 198-201 |
artikel |
47 |
The Geography of S&P 500 Stock Returns
|
Barker, David |
|
2007 |
|
4 |
p. 177-190 |
artikel |
48 |
The Hot Stock Tip from Debbie: Implications for Market Efficiency
|
Small, Kenneth |
|
2007 |
|
4 |
p. 191-197 |
artikel |
49 |
The Perception of Dividends By Management
|
Frankfurter, George |
|
2002 |
|
4 |
p. 202-217 |
artikel |
50 |
The Relationship Between Investor Attachment Style and Financial Advisor Loyalty
|
Brown, Donalee |
|
2008 |
|
4 |
p. 232-239 |
artikel |
51 |
The Role of Psychic Distance in Contagion: A Gravity Model for Contagious Financial Crises
|
Zhu, Lili |
|
2008 |
|
4 |
p. 209-223 |
artikel |
52 |
Toward an Understanding of the Risky Choice Behavior of Professional Financial Analysts
|
Hunton, James E. |
|
2001 |
|
4 |
p. 182-189 |
artikel |
53 |
Visibility, Institutional Preferences and Agency Considerations
|
Ackert, Lucy F. |
|
2001 |
|
4 |
p. 201-209 |
artikel |
54 |
Why Do Bond and Stock Prices and Trading Volume Change around Credit Rating Announcements?
|
Parnes, Dror |
|
2008 |
|
4 |
p. 224-231 |
artikel |