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Review of Behavioral Finance

2009 - 2021

Current editor(s): Phil Holmes and Robert Hudson

From Emerald Group Publishing
Bibliographic data for series maintained by Virginia Chapman ().

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Volume 6, issue 2, 2014

Does more detailed information mean better performance? An experiment in information explicitness pp. 86-103 Downloads
Zilu Shang, Chris Brooks and Rachel McCloy
On the impact of market mergers over herding: evidence from EURONEXT pp. 104-135 Downloads
Panagiotis Andrikopoulos, Andreas Albin Hoefer and Vasileios Kallinterakis
Do emotions affect insurance demand? pp. 136-154 Downloads
Gianni Brighetti, Caterina Lucarelli and Nicoletta Marinelli
Positive feedback trading: a review pp. 155-162 Downloads
Gregory Koutmos

Volume 6, issue 1, 2014

Pound wise and penny foolish? OTC stock investor behavior pp. 2-25 Downloads
John R. Nofsinger and Abhishek Varma
Informative content of insider purchases: evidence from the financial crisis pp. 26-45 Downloads
Aydin Ozkan and Agnieszka Trzeciakiewicz
Macroeconomic information and implied volatility: evidence from Australian index options pp. 46-62 Downloads
Hassan Tanha, Michael Dempsey and Terrence Hallahan
Contrarian and momentum trading: a review of the literature pp. 63-82 Downloads
Emilios C. Galariotis

Volume 5, issue 2, 2013

Overconfidence, overreaction and personality pp. 104-133 Downloads
Robert Durand, Rick Newby, Kevin Tant and Sirimon Trepongkaruna
Team gender diversity and investment decision-making behavior pp. 134-152 Downloads
Vicki L. Bogan, David Just and Chekitan S. Dev
The effect of exogenous information signal strength on herding pp. 153-174 Downloads
Kimberly F. Luchtenberg and Michael Joseph Seiler
Herding in financial markets: a review of the literature pp. 175-194 Downloads
Spyros Spyrou

Volume 5, issue 1, 2013

Managerial gambling attitudes: evidence from bank acquisitions pp. 4-34 Downloads
John A. Doukas and Wenjia Zhang
Cash acquirers: Can free cash flow, debt and institutional ownership explain long-run performance? pp. 35-57 Downloads
Alan Gregory and Yuan-Hsin Wang
The effect of US individual investor sentiment on industry-specific stock returns and volatility pp. 58-76 Downloads
Mustafa Sayim, Pamela D. Morris and Hamid Rahman
Why do firms cross-list their shares on foreign exchanges? A review of cross-listing theories and empirical evidence pp. 77-99 Downloads
Olga Dodd

Volume 4, issue 2, 2012

Behavioural finance: the role of psychological factors in financial decisions pp. 68-80 Downloads
Yaz Muradoglu and Nigel Harvey
Effects on stock investments of information about short versus long price series pp. 81-97 Downloads
Maria Andersson, Tommy Gärling, Martin Hedesström and Anders Biel
Credit repayment decisions: The role of long-term consequence information, economic and psychological factors pp. 98-112 Downloads
Sandie McHugh and Rob Ranyard
Psychological determinants of consumer credit: the role of attitudes pp. 113-129 Downloads
Francesco Pattarin and Stefano Cosma

Volume 4, issue 1, 2012

Optimism in foreign investors pp. 8-27 Downloads
Meziane Lasfer, Sharon Xiaowen Lin and Yaz Muradoglu
Catering for security types: the case of warrants pp. 28-45 Downloads
John S. Howe and Biljana Nikolic
Overconfidence and debiasing in the financial industry pp. 46-62 Downloads
Markku Kaustia and Milla Perttula

Volume 3, issue 2, 2011

Perceived Versus Actual Susceptibility to Normative Influence in the Presence of DefaultingLandlords pp. 55-77 Downloads
Michael J. Seiler and David M. Harrison
Testing for Long Memory in the Feedback Mechanism in the Futures Markets pp. 78-90 Downloads
Antonios Antoniou, Gregory Koutmos and Gioia Pescetto
Financing Decisions and Discretionary Accruals: Managerial Manipulation or ManagerialOveroptimism pp. 91-114 Downloads
Dalia Marciukaityte and Samuel H. Szewczyk
Double then Nothing: Why Stock Investments Relying on Simple Heuristics May Disappoint pp. 115-140 Downloads
Stephen Foerster

Volume 3, issue 1, 2011

The Expected Cost of Equity and the Expected Risk Premium in the UK pp. 1-26 Downloads
Alan Gregory
Dividends, Momentum, and Macroeconomic Variables as Determinants of the US Equity Premium Across Economic Regimes pp. 27-53 Downloads
Anastasios Malliaris and Ramaprasad Bhar

Volume 2, issue 2, 2010

Investor Sentiment and Corporate Bond Yield Spreads pp. 59-80 Downloads
Subhankar Nayak
Household Investment - The Horizon Effect pp. 81-105 Downloads
Ping He and Xiaoqing Hu
Institutional Shareholder Activism and Limited Investor Attention pp. 106-124 Downloads
Pornanong Budsaratragoon, Suntharee Lhaopadchan and David Hillier

Volume 2, issue 1, 2010

Optimal Financial Naïveté pp. 1-18 Downloads
Avanidhar Subrahmanyam
Pension Plan Decisions pp. 19-36 Downloads
Alistair Byrne, David Blake and Graham Mannion
Overconfident Managers and External Financing Choice pp. 37-58 Downloads
Masaya Ishikawa and Hidetomo Takahashi

Volume 1, issue 1/2, 2009

Book/Market Fluctuations, Trading Activity, and the Cross-section of Expected Stock Returns pp. 3-22 Downloads
Amber Anand and Avanidhar Subrahmanyam
Asymmetric Asset Price Reaction to News and Arbitrage Risk pp. 23-43 Downloads
John A. Doukas and Meng Li
Does Risk Aversion Vary with Decision-Frame? An Empirical Test Using Recent Game Show Data pp. 44-61 Downloads
Daniel Mulino, Richard Scheelings, Robert Brooks and Robert Faff
The Effect of Perceived Uncertainty on Analysts’ Recommendations and Earnings Forecasts pp. 62-82 Downloads
Susan M. Young
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