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.
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Volume 30, issue C, 2021
- What is the size of credit card debt in Brazil? Reporting Thresholds, Interest Rates and Income Distribution

- Maria Paula Bertran and David Echeverry
- Volatility connectedness of major cryptocurrencies: The role of investor happiness

- Elie Bouri, David Gabauer, Rangan Gupta and Aviral Tiwari
- Interaction and decomposition of gender difference in financial risk perception

- Dan Zhu, Lynn Hodgkinson and Qingwei Wang
- Herding behaviour and price convergence clubs in cryptocurrencies during bull and bear markets

- Stephanos Papadamou, Nikolaos A. Kyriazis, Panayiotis Tzeremes and Shaen Corbet
- Collusive vs. coercively corrupt tax auditors and their impact on tax compliance

- Amin Mawani and Viswanath Umashanker Trivedi
- Puzzles of insurance demand and its biases: A survey on the role of behavioural biases and financial literacy on insurance demand

- Francisco Pitthan and Kristof De Witte
- Football sentiment and stock market returns: Evidence from a frontier market

- Quang-Thai Truong, Quynh-Nhu Tran, Walid Bakry, Duc Nguyen Nguyen and Somar Al-Mohamad
- Cross-sectional association of financial anxiety, medical conditions and preferences for financial interventions

- Salene M.W. Jones
- Investor emotions and earnings announcements

- Domonkos F. Vamossy
- Central bank transparency and market reaction in Brazil, Chile, and Colombia

- Anoop Rai, Guido Rojer and Edirel Susanna
- The influence of behavioral factors on SMES’ owners intention to adopt private finance

- Ploypailin Kijkasiwat
- Immune or at-risk? Stock markets and the significance of the COVID-19 pandemic

- O’Donnell, Niall, Darren Shannon and Barry Sheehan
- Foreign-language effect and professionals’ judgments on fair value measurement: Evidence from Germany and the United Kingdom

- Andreas Hellmann, Chris Patel and Noriyuki Tsunogaya
- Translation of International Financial Reporting Standards and implications for judgments and decision-making

- Andreas Hellmann and Chris Patel
- The Ramadan effect: A standalone anomaly or just a compensation for low liquidity?

- Jędrzej Białkowski and Mona Yaghoubi
- Managerial optimism, investment cash flow sensitivity and agency costs: Evidence from NYSE panel data firms

- Ezzeddine Ben Mohamed
- Association between investment risk tolerance and portfolio risk: The role of confidence level

- Zheying Yao and Abed G. Rabbani
- Managerial optimism and corporate investment behavior

- Naoshi Ikeda, Kotaro Inoue and Shoji Sugitani
- Do opinion polls on government preference influence stock returns?

- Paresh Kumar Narayan and Seema Narayan
- Financial and non-financial risk attitudes: What does it matter?

- Annarita Colasante and Luca Riccetti
- Commonality and contrarian trading among algorithmic traders

- Devika Arumugam and P. Krishna Prasanna
- Working capital management and CEO age

- Robert B. Burney, Hui Liang James and Hongxia Wang
- Revisiting the determinants of individual sustainable investment—The case of Japan

- Gunnar Gutsche, Miwa Nakai and Toshi Arimura
- The COVID-19 pandemic and speculation in energy, precious metals, and agricultural futures

- Imtiaz Sifat, Abdul Ghafoor and Abdollah Ah Mand
- What determines Manager and Investor Sentiment?

- Richard Paul Gregory
- Executives’ gender-diversity, education, and firm’s bankruptcy risk: Evidence from China

- Eunho Cho, Collins Okafor, Nacasius Ujah and Linmei Zhang
- A tale of company fundamentals vs sentiment driven pricing: The case of GameStop

- Zaghum Umar, Mariya Gubareva, Imran Yousaf and Shoaib Ali
- Nudging against panic selling: Making use of the IKEA effect

- Amin Zokaei Ashtiani, Marc Oliver Rieger and David Stutz
- Payment methods and the disposition effect: Evidence from Indonesian mutual fund trading

- Aldo Fortunato Dalla Costa, Vito Mollica and Abhay Singh
- Short sales restrictions and market quality: Evidence from Korea

- Yunsung Eom, Jaehoon Hahn and Wook Sohn
- Unsticking credit card repayments from the minimum: Advice, anchors and financial incentives

- Patrick Hendy, Robert Slonim and Kadir Atalay
- Do multiple competing offerings on a crowdfunding platform influence investment behavior?

- Riccardo Ferretti, Valeria Venturelli and Alessia Pedrazzoli
- Improving stock price prediction using the long short-term memory model combined with online social networks

- Keyan Liu, Jianan Zhou and Dayong Dong
- Abnormal volatility in seasoned equity offerings during economic disruptions

- Mason Prasad, Walid Bakry and Maria Estela Varua
- How important is trust in driving financial inclusion?

- Saibal Ghosh
- Retail investor risk-seeking, attention, and the January effect

- Zhongdong Chen, Adam Schmidt and Wang, Jin’ai
Volume 29, issue C, 2021
- Cash is Queen: Female CEOs’ propensity to hoard cash

- Nilesh B. Sah
- An examination of diversification on bank profitability and insolvency risk in 28 financially liberalized markets

- James Nguyen, Richard Parsons and Bronson Argyle
- COVID-19 containment measures and stock market returns: An international spatial econometrics investigation

- Christos Alexakis, Konstantinos Eleftheriou and Patroklos Patsoulis
- A behavioral explanation of credit ratings and leverage adjustments

- M. Hashemi Joo and A.M. Parhizgari
- Air pollution and behavioral biases: Evidence from stock market anomalies

- Hung T. Nguyen and Mia Hang Pham
- Stability efficiency in Islamic banks: Does board governance matter?

- Md Safiullah
- Antecedents of consumer indebtedness in a majority-Muslim country: Assessing the moderating effects of gender and religiosity using PLS-MGA

- Hind Lebdaoui and Youssef Chetioui
- Two selves and two minds in a longitudinal survey of risk attitudes

- Jessica Campara, Newton Da Costa, Raul Matsushita and Sergio Da Silva
- Risky decision under laboratory deadline with experience and indirect self-selection

- Priyodorshi Banerjee and Tanmoy Das
- A review of the Post-Earnings-Announcement Drift

- Josef Fink
- An analysis of the impact of President Trump’s tweets on the DJIA and S&P 500 using machine learning and sentiment analysis

- Johnson D. Kinyua, Charles Mutigwe, Daniel J. Cushing and Michael Poggi
- Financial news and CDS spreads

- Paresh Kumar Narayan and Deepa Bannigidadmath
- Pension behavior and policy

- Philip W.S. Newall and Mike Peacey
- The impact of financial literacy and financial interest on risk tolerance

- Cecilia Hermansson and Sara Jonsson
- Does investor attention matter for market anomalies?

- Hung T. Nguyen and Mia Hang Pham
- The underlying motivational process behind portfolio diversification choice decisions of individual investors: An experimental design

- Atri Sengupta, Soumya Guha Deb and Shashank Mittal
- Googlization and retail trading activity

- Christophe Desagre and D’Hondt, Catherine
- COVID-19 pandemic and stock market response: A culture effect

- Adrian Fernandez-Perez, Aaron Gilbert, Ivan Indriawan and Nhut H. Nguyen
- Financial inclusion and ethnic development: Evidence from satellite light density at night

- Sami Dakhlia, Boubacar Diallo and Akram Temimi
- Exchange-traded certificates, education and the disposition effect

- Paulo Silva and Victor Mendes
- The dark triad and investment behavior

- Max Suchanek
- Political connections of Russian corporations: Blessing or curse?

- Dmitri Trifonov
- Goodwill impairment and CEO overconfidence

- Robert Killins, Thanh Ngo and Hongxia Wang
- Does robo-advisory help reduce the likelihood of carrying a credit card debt? Evidence from an instrumental variable approach

- Zefeng Bai
- Do they recall their past? CEOs’ liquidity policies across firms as they switch jobs

- Bolortuya Enkhtaivan and Zagdbazar Davaadorj
- Market signaling capacity of written and visual charismatic leadership tactics

- John Fiset, Erin Oldford and Shaner Chu
- Static and regime-dependent herding behavior: An emerging market case study

- Abdollah Ah Mand and Imtiaz Sifat
- Measuring the disposition effect

- Rudy De Winne
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