Review of Behavioral Finance
2009 - 2024
Current editor(s): Professor Gulnur Muradoglu From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (feeds@emerald.com). Access Statistics for this journal.
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Volume 13, issue 5, 2020
- Watch me go big: CEO narcissism and corporate acquisitions pp. 465-485

- Tom Aabo, Mikkel Als, Lars Thomsen and Jesper N. Wulff
- Sensation Seeking and Overconfidence in day traders: evidence from Brazil pp. 486-501

- Paulo Antonelli-Filho, Aureliano Bressan, Kelmara Mendes Vieira and Ani Caroline Grigion Potrich
- Representative bubbles and deleveraging pp. 502-521

- Francesco Strati
- Informed short selling: evidence from economically linked firms pp. 522-542

- Fawzi Hyder and Mahsa Khoshnoud
- Personal values as drivers of socially responsible investments: a moderation analysis pp. 543-565

- Manjit Singh, Manju Mittal, Pooja Mehta and Himanshu Singla
- Female workers' readiness for retirement planning: an evidence from Indonesia pp. 566-583

- Linda Evelina Larisa, Anastasia Njo and Serli Wijaya
- Psychological barriers in the electric market: study applied to the Nord Pool market pp. 584-609

- Carlos Almeida, Mara Madaleno and Margarita Robaina
- Stock loan lotteries and individual investor welfare pp. 610-630

- Jordan Moore
- Determinants of heterogeneity in investors' opinions on IPO valuation: evidence from the Pakistan stock market pp. 631-646

- Waqas Mehmood, Rasidah Mohd-Rashid, Norliza Che-Yahya and Chui Zi Ong
- Come together: trust, sociability and individual investors' stock-portfolio returns pp. 647-662

- Oscar Stålnacke
- Malaysian residential mortgage loan default: a micro-level analysis pp. 663-681

- Azira Abdul Adzis, Hock Eam Lim, Siew Goh Yeok and Asish Saha
Volume 13, issue 4, 2020
- Personality traits and investor sentiment pp. 354-369

- H. Kent Baker, Satish Kumar and Nisha Goyal
- What were they thinking? Firms' expectations since the financial crisis pp. 370-385

- Annalisa Ferrando, Ioannis Ganoulis and Carsten Preuss
- Investor attention and market correction pp. 386-409

- Zhongdong Chen
- Ambiguity aversion and experiential learning: implications for long-term savings decisions pp. 410-437

- Bryan Foltice and Rachel Rogers
- Can financial literacy overconfidence be predicted by narcissistic tendencies? pp. 438-449

- Cagri Hamurcu and Hayriye Dilek Hamurcu
- Investor sentiments and pricing errors pp. 450-462

- Rahul Verma and Priti Verma
Volume 13, issue 3, 2020
- Do FEARS drive Bitcoin? pp. 229-258

- Tobias Burggraf, Toan Luu Duc Huynh, Markus Rudolf and Mei Wang
- Financial risk-taking and trait emotional intelligence pp. 259-275

- Alessandro Bucciol, Federico Guerrero and Dimitra Papadovasilaki
- Overconfidence and financial decision-making: a meta-analysis pp. 276-296

- Matúš Grežo
- Empirical investigation of herding in cryptocurrency market under different market regimes pp. 297-308

- Ashish Kumar
- Is there persistence among non-professionals? Evidence from the Chicago Mercantile Exchange Group Trading Challenges pp. 309-331

- Omid Sabbaghi and Min Xu
- Is household registration system responsible for the limited participation of stock market in China? pp. 332-350

- Yulin Liu and Min Zhang
Volume 13, issue 2, 2020
- An investigation of policy incentives for delaying public pension benefit claims pp. 109-124

- Tomoki Kitamura and Kunio Nakashima
- Financial risk-taking related to individual risk preference, social comparison and competition pp. 125-140

- Tommy Gärling, Dawei Fang, Martin Holmen and Patrik Michaelsen
- Do narcissistic CEOs rock the boat? pp. 141-164

- Tom Aabo, Frederik Hoejland and Jesper Pedersen
- Pleasing the crowd: the determinants of securities crowdfunding success pp. 165-183

- Elena Smirnova, Katarzyna Platt, Yu Lei and Frank Sanacory
- Bounded rationality in a P2P lending market pp. 184-201

- Dongwoo Kim
- The influence of Google search index on stock markets: an analysis of causality in-mean and variance pp. 202-226

- Mariano Gonzalez Sanchez
Volume 13, issue 1, 2021
- A test of the association between the initial surge in COVID-19 cases and subsequent changes in financial risk tolerance pp. 3-19

- Wookjae Heo, John E. Grable and Abed G. Rabbani
- Investor attention and the response of US stock market sectors to the COVID-19 crisis pp. 20-39

- Lee Smales
- COVID-19 fear index: does it matter for stock market returns? pp. 40-50

- Sowmya Subramaniam and Madhumita Chakraborty
- Stock market liquidity, the great lockdown and the COVID-19 global pandemic nexus in MENA countries pp. 51-68

- Anas Alaoui Mdaghri, Abdessamad Raghibi, Cuong Nguyen Thanh and Lahsen Oubdi
- COVID-19, bitcoin market efficiency, herd behaviour pp. 69-84

- Emna Mnif and Anis Jarboui
- Simulation of the effect of COVID-19 outbreak on the development of branchless banking in Iran: case study of Resalat Qard–al-Hasan Bank pp. 85-108

- Vahid Shahabi, Adel Azar, Farshad Faezy Razi and Mir Feyz Fallah Shams
Volume 12, issue 4, 2020
- Abnormal trading around common factor pricing models pp. 317-334

- Jiexin Wang, Xue Han, Emily J. Huang and Christopher Yost-Bremm
- Influence of economic freedom and its subcomponents on risk-taking behavior pp. 335-356

- Rafik Harkati, Syed Musa Alhabshi and Salina Kassim
- Dynamics of credit decision-making: a taxonomy and a typological matrix pp. 357-374

- Candauda Arachchige Saliya
- Do momentum and reversal strategies work in commodity futures? A comprehensive study pp. 375-409

- Hanxiong Zhang and Andrew Urquhart
- Momentum return volatility, uncertainty, and energy prices: evidence from major international equity markets pp. 411-433

- Spyros Spyrou
- Asymmetric relationship of investor sentiment with stock return and volatility: evidence from India pp. 435-454

- Madhumita Chakraborty and Sowmya Subramaniam
Volume 12, issue 3, 2019
- Income diversification and financial performance of commercial banks in Vietnam pp. 185-199

- Hiep Ngoc Luu, Loan Quynh Thi Nguyen, Quynh Huong Vu and Le Quoc Tuan
- Does response time predict withdrawal decisions? Lessons from a bank-run experiment pp. 200-222

- Hubert Janos Kiss, Ismael Rodriguez-Lara and Alfonso Rosa-García
- Household consumption change in the context of labour market changes in Japan during 1984–2014 pp. 223-241

- Janika Bachmann
- Motivating gender use in financial research: a survey of recent literature pp. 242-258

- Kyre Dane Lahtinen
- Propensity toward financial risk tolerance: an analysis using behavioural factors pp. 259-281

- Mahfuzur Rahman
- Does ownership concentration affect cost of debt? Evidence from an emerging market pp. 282-296

- Imad Jabbouri and Maryem Naili
- Evaluation of behavioral biases affecting investment decision making of individual equity investors by fuzzy analytic hierarchy process pp. 297-314

- Jinesh Jain, Nidhi Walia and Sanjay Gupta
Volume 12, issue 2, 2019
- Disposition effect at the market level: evidence from Indian stock market pp. 69-82

- Sravani Bharandev and Sapar Narayan Rao
- Time-varying herding behavior within the Eurozone stock markets during crisis periods pp. 83-96

- Stavros Stavroyiannis and Vassilios Babalos
- Are smart beta funds really smart? Evidence from rational and quasi-rational investor sentiment data pp. 97-118

- Rahul Verma, Gökçe Soydemir and Tzu-Man Huang
- Herding in frontier markets: evidence from the Balkan region pp. 119-135

- Fotini Economou
- Review of behavioral explanations of how rank-based incentives influence risk taking by investment managers in mutual fund companies pp. 136-150

- Tommy Gärling, Dawei Fang and Martin Holmen
- Psychological barriers in the cryptocurrency market pp. 151-169

- Vítor Fonseca, Luis Pacheco and Júlio Lobão
- Investors’ risk aversion integration and quantitative easing pp. 170-183

- Athanasios Fassas, Stephanos Papadamou and Dionisis Philippas
Volume 12, issue 1, 2020
- Personal routes into behavioural finance pp. 1-9

- Robert Hudson and Yaz Muradoglu
- Investor and market overreaction: a retrospective pp. 11-20

- Werner De Bondt
- Learning is a social activity pp. 21-25

- Charles Goodhart
- My way to the second generation of behavioral finance pp. 27-34

- Meir Statman
- Unfinished business: a multicommodity intertemporal planner–doer framework pp. 35-68

- Hersh Shefrin
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