Review of Behavioral Finance
2009 - 2025
Current editor(s): Professor Gulnur Muradoglu From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). 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 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, 2019
- 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, 2019
- 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
| |