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Journal of Behavioral and Experimental Finance

2014 - 2017

Current editor(s): Michael Dowling and Jürgen Huber

From Elsevier
Series data maintained by Dana Niculescu ().

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Volume 14, issue C, 2017

R&D investment–cash flow sensitivity under managerial optimism pp. 1-4 Downloads
Ezzeddine Ben Mohamed and Mohammed Abdelshakour Shehata
Gender premium and economic downswings pp. 5-13 Downloads
Elona Shehu, Khurram Shahzad, Ghulame Rubbaniy and Abida Perveen
Factors driving memory fallibility: A conceptual framework for accounting and finance studies pp. 14-22 Downloads
Yike Ding, Andreas Hellmann and Lurion De Mello
The impact of training and monitoring on loan repayment of microfinance debtors in Ghana pp. 23-29 Downloads
Daniel Agbeko, Vincent Blok, S.W.F. Omta and G. Van der Velde
Does self-control predict financial behavior and financial well-being? pp. 30-38 Downloads
Camilla Strömbäck, Thérèse Lind, Kenny Skagerlund, Daniel Västfjäll and Gustav Tinghög
Subjective risk tolerance and numeracy skills: A study in Brazil pp. 39-46 Downloads
Jéssica Pulino Campara, Ana Luiza Paraboni, Newton da Costa, Valter Saurin and Ana Lopes

Volume 13, issue C, 2017

Should your bank invest for you? Evidence from private banking accounts pp. 1-8 Downloads
Ji Cao, Marcel Fischli and Marc Oliver Rieger
On the nature of guilt aversion: Insights from a new methodology in the dictator game pp. 9-15 Downloads
Loukas Balafoutas and Matthias Sutter
Determinants of the conditional probability that a household has informal loans given liquidity constraints regarding access to credit banking channels pp. 16-24 Downloads
Luca Zanin
About depression babies and red diaper babies: Do macroeconomic experiences affect everybody’s risk taking in the same way? pp. 25-27 Downloads
Henning Cordes and Maik Dierkes
Speculative bubbles and irrational exuberance in African stock markets pp. 28-32 Downloads
Fahad Almudhaf
Further evidence on the herd behavior in Vietnam stock market pp. 33-41 Downloads
Xuan Vinh Vo and Dang Bao Anh Phan
Asset markets in the lab: A literature review pp. 42-50 Downloads
Simone Nuzzo and Andrea Morone
Rationality of longevity expectations: Evidence from the Korean Longitudinal Study of Aging pp. 51-61 Downloads
Tae-Young Pak and Youngjoo Choung

Volume 12, issue C, 2016

Can anchoring explain biased forecasts? Experimental evidence pp. 1-13 Downloads
Lukas Meub and Till Proeger
Experimental asset markets: A survey of recent developments pp. 14-22 Downloads
Owen Powell and Natalia Shestakova
Real options in the laboratory: An experimental study of sequential investment decisions pp. 23-39 Downloads
Ryan O. Murphy, Sandra Andraszewicz and Simon D. Knaus
Real earnings management in innovative firms: Does CEO profile make a difference? pp. 40-54 Downloads
Amel Kouaib and Anis Jarboui
Income and choice under risk pp. 55-64 Downloads
Arnt O. Hopland, Egil Matsen and Bjarne Strøm
How does investor confidence lead to trading? Linking investor return experiences, confidence, and investment beliefs pp. 65-78 Downloads
Arvid O.I. Hoffmann and Thomas Post
The spillover effects of management overconfidence on analyst forecasts pp. 79-92 Downloads
Lisa A. Kramer and Chi M. Liao
Does the theory of planned behaviour (TPB) matter in Sukuk investment decisions? pp. 93-100 Downloads
Mohammed Hersi Warsame and Edward Mugambi Ireri
Behavioral biases of finance professionals: Turkish evidence pp. 101-111 Downloads
Halil Kiymaz, Belma Öztürkkal and K. Ali Akkemik
Aging, overconfidence, and portfolio choice pp. 112-122 Downloads
Tae-Young Pak and Swarn Chatterjee

Volume 11, issue C, 2016

Recent developments in the experimental elicitation of time preference pp. 1-8 Downloads
Stephen L. Cheung
Clustering of annual general meetings and stock returns: UK evidence pp. 9-12 Downloads
Tolulola Lawal
Prospect theory and portfolio selection pp. 13-17 Downloads
Michael J. Best and Robert R. Grauer
Social media big data and capital markets—An overview pp. 18-26 Downloads
Jaroslav Bukovina
Examining pension beneficiaries’ willingness to pay for a socially responsible and impact investment portfolio: A case study in the Dutch healthcare sector pp. 27-43 Downloads
George Apostolakis, Frido Kraanen and Gert van Dijk
Interest on cash, fundamental value process and bubble formation: An experimental study pp. 44-51 Downloads
Giovanni Giusti, Janet Hua Jiang and Yiping Xu

Volume 10, issue C, 2016

Society for Experimental Finance Presidential Address 2015 pp. 1-4 Downloads
Charles N. Noussair
Profiling trust: An empirical analysis pp. 5-19 Downloads
Sonia Di Giannatale, Alexander Elbittar, Lucy Maya, Alfredo Ramírez and María José Roa
The direction of media influence: Real-estate news and the stock market pp. 20-31 Downloads
Clive B. Walker
Properties of expectation biases: Optimism and overconfidence pp. 32-49 Downloads
Yusuke Kinari
Mood effects in optimal debt contracts pp. 50-53 Downloads
Nicholas Apergis and Dimitris Voliotis
Ecology and finance: A quest for congruency pp. 54-62 Downloads
Anne Walters, Vikash Ramiah and Imad Moosa
Why is gold a safe haven? pp. 63-71 Downloads
Dirk G. Baur and Thomas K.J. McDermott
The Monday effect in the EUR/USD currency pair: Periods of EUR strength and weakness pp. 72-74 Downloads
Peter J. Bush and John E. Stephens
The Credit Card Use and Debt: Is there a trade-off between compulsive buying and ill-being perception? pp. 75-87 Downloads
Kelmara Mendes Vieira, Marta Olivia Rovedder de Oliveira and Franciele Inês Reis Kunkel
Timing the stock market: Does it really make no sense? pp. 88-104 Downloads
Hubert Dichtl, Wolfgang Drobetz and Lawrence Kryzanowski
oTree: The “bomb” risk elicitation task pp. 105-108 Downloads
Felix Holzmeister and Armin Pfurtscheller

Volume 9, issue C, 2016

Unskilled traders, overconfidence and information acquisition pp. 1-5 Downloads
Philippe Grégoire
Personal information in peer-to-peer loan applications: Is less more? pp. 6-19 Downloads
Fabian Prystav
Default penalty as a selection mechanism among multiple equilibria pp. 20-38 Downloads
Juergen Huber, Martin Shubik and Shyam Sunder
The role of accounting in behavioral finance pp. 39-42 Downloads
Andreas Hellmann
Cultural influences on risk tolerance and portfolio creation pp. 43-55 Downloads
Mark K. Pyles, Yongping Li, Shifang Wu and Steven D. Dolvin
Numeraire independence and the measurement of mispricing in experimental asset markets pp. 56-62 Downloads
Owen Powell
The trend is our friend: Risk parity, momentum and trend following in global asset allocation pp. 63-80 Downloads
Andrew Clare, James Seaton, Peter N. Smith and Stephen Thomas
On the impact of semantic framing in experimental asset markets pp. 81-87 Downloads
Matthias Stefan
oTree—An open-source platform for laboratory, online, and field experiments pp. 88-97 Downloads
Daniel L. Chen, Martin Schonger and Chris Wickens
Financial distress prediction in an international context: Moderating effects of Hofstede’s original cultural dimensions pp. 98-118 Downloads
Erkki K. Laitinen and Arto Suvas
Do stock splits signal undervaluation? pp. 119-124 Downloads
Mohammad A. Karim and Sayan Sarkar
Ambiguity vs risk: An experimental study of overconfidence, gender and trading activity pp. 125-131 Downloads
Xiaolan Yang and Li Zhu
Emerging market active managers: Skilled or stubborn? pp. 132-135 Downloads
Antonio Fasano and Giuseppe Galloppo
Investor sentiment, limits on arbitrage, and the performance of cross-country stock market anomalies pp. 136-163 Downloads
Adam Zaremba
Page updated 2017-09-29