Journal of Behavioral and Experimental Finance
2014 - 2025
Current editor(s): Michael Dowling and Jürgen Huber From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 6, issue C, 2015
- Financial literacy in Southern Brazil: Modeling and invariance between genders pp. 1-12

- Ani Caroline Grigion Potrich, Kelmara Mendes Vieira, Daniel Coronel and Reisoli Bender Filho
- Decreasing term structure of psychological discount rates: Experimental estimation and determinants pp. 13-26

- Hubert de La Bruslerie
- Investment competence and advice seeking pp. 27-41

- Kremena Bachmann and Thorsten Hens
- Trading System based on the use of technical analysis: A computational experiment pp. 42-55

- Thiago Raymon Cruz Cacique da Costa, Rodolfo Toríbio Nazário, Gabriel Soares Zica Bergo, Vinicius Amorim Sobreiro and Herbert Kimura
- Why you should care about investment costs: A risk-adjusted utility approach pp. 56-66

- Morten Tolver Kronborg and Søren Fiig Jarner
- Evolving efficiency of spot and futures energy markets: A rolling sample approach pp. 67-79

- Karim Ben Khediri and Lanouar Charfeddine
- Mad Money: Does the combination of stock recommendation and show segment matter? pp. 80-92

- Jose Gutierrez and Robert Stretcher
- Risk taking, behavioral biases and genes: Results from 149 active investors pp. 93-100

- Anders Anderson, Anna Dreber and Roine Vestman
Volume 5, issue C, 2015
- GIMS—Software for asset market experiments pp. 1-14

- Stefan Palan
- Investor sentiment and price limit rules pp. 15-26

- Lucy Ackert, Yaru Huang and Lei Jiang
- Lay people beliefs in professional and naïve stock investors’ proneness to judgmental biases pp. 27-34

- Daniel Peterson, Anders Carlander, Amelie Gamble, Tommy Gärling and Martin Holmen
- Are individual stock investors overconfident? Evidence from an emerging market pp. 35-45

- Bülent Tekçe and Neslihan Yılmaz
- Is investor sentiment contagious? International sentiment and UK equity returns pp. 46-59

- Yawen Hudson and Christopher Green
- The holy day effect pp. 60-80

- Mohamad Al-Ississ
- The 2D:4D ratio and Myopic Loss Aversion (MLA): An experimental investigation pp. 81-84

- Anderson M. Teixeira, Benjamin Tabak and Daniel Cajueiro
Volume 4, issue C, 2014
- Herding towards higher moment CAPM, contagion of herding and macroeconomic shocks: Evidence from five major developed markets pp. 1-13

- Petros Messis and Achilleas Zapranis
- The book-to-market ratio, optimism and valuation pp. 14-24

- Ray Donnelly
- Technical market indicators: An overview pp. 25-56

- Jiali Fang, Yafeng Qin and Ben Jacobsen
- Finance education and social preferences: Experimental evidence pp. 57-62

- Bryan McCannon
Volume 3, issue C, 2014
- Propensity toward indebtedness: An analysis using behavioral factors pp. 1-10

- Silvia Amélia Mendonça Flores and Kelmara Mendes Vieira
- The effect of CEO overconfidence on turnover abnormal returns pp. 11-21

- Neslihan Yilmaz and Michael A. Mazzeo
- National culture and dividend policy: International evidence from banking pp. 22-40

- Changjun Zheng and Badar Nadeem Ashraf
- Transport firms’ inefficiency and managerial optimism: A stochastic frontier analysis pp. 41-51

- Sami Jarboui, Pascal Forget and Younes Boujelbene
Volume 2, issue C, 2014
- The signature of sentiment in conditional consumption CAPM estimates: A note pp. 1-9

- Valerio Potì and Hersh Shefrin
- Behavioral finance in financial market theory, utility theory, portfolio theory and the necessary statistics: A review pp. 10-17

- David Nawrocki and Fred Viole
- Trading behavior and profits in experimental asset markets with asymmetric information pp. 18-30

- Thomas Stöckl and Michael Kirchler
- Speculating in gains, waiting in losses: A closer look at the disposition effect pp. 31-43

- Tõnn Talpsepp, Martin Vlcek and Mei Wang
- When can a photo increase credit? The impact of lender and borrower profiles on online peer-to-peer loans pp. 44-58

- Laura Gonzalez and Yuliya Komarova Loureiro
Volume 1, issue C, 2014
- National cultural dimensions in finance and accounting scholarship: An important gap in the literatures? pp. 1-12

- Raj Aggarwal and John W. Goodell
- Institutional economics and behavioral finance pp. 13-16

- Ben Branch
- Is there a Friday the 13th effect in emerging Asian stock markets? pp. 17-26

- Benjamin R. Auer and Horst Rottmann
- Attitudes towards socially and environmentally responsible investment pp. 27-44

- Arian C.T. Borgers and Rachel Pownall
- Are investors guided by the news disclosed by companies or by journalists? pp. 45-60

- Zilu Shang, Chris Brooks and Rachel McCloy
- Optimistic, but selling riskier stocks—An arbitrage experiment in crisis market pp. 61-73

- Doron Sonsino and Tal Shavit
- Understanding the prevalence and implications of homeowner money illusion pp. 74-84

- Michael Seiler
- The takeover game pp. 85-98

- Sascha Füllbrunn and Ernan Haruvy
- Rediscovering the human and forgetting the natural in economics and finance pp. 99-108

- Charles Larkin
| |