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Content
2021, Volume 32, Issue C
- S2214635021001209 Momentum in real economy and industry stock returns
by Eichel, Ron
- S2214635021001210 Artificial intelligence and machine learning in finance: Identifying foundations, themes, and research clusters from bibliometric analysis
by Goodell, John W. & Kumar, Satish & Lim, Weng Marc & Pattnaik, Debidutta
- S2214635021001222 Profit-based credit models with lender’s attitude towards risk and loss
by Baidoo, Edwin & Natarajan, Ramachandran
- S2214635021001234 Corporate integrity and hostile takeover threats: Evidence from machine learning and “CEO luck”
by Ongsakul, Viput & Chatjuthamard, Pattanaporn & Jiraporn, Pornsit & Chaivisuttangkun, Sirithida
- S2214635021001349 Thou shalt not trade—An analysis of the violations of no-trade predictions in experimental asset markets
by Kleinlercher, Daniel & Stöckl, Thomas
- S2214635021001350 Expectation formation in finance and macroeconomics: A review of new experimental evidence
by Bao, Te & Hommes, Cars & Pei, Jiaoying
- S2214635021001362 Stakeholder orientation and cost stickiness
by Xin, Xianyang & Wong, Jin Boon & Hasan, Mostafa Monzur
- S2214635021001374 Trading fast and slow: The role of deliberation in experimental financial markets
by Ferri, Giovanni & Ploner, Matteo & Rizzolli, Matteo
- S221463502100109X What explains voluntary premarket underpricing and aftermarket mispricing in Indian IPOs?
by Ranganathan, Kavitha & Saraogi, Aayush
- S221463502100112X Early health, risk aversion and stock market participation
by Böckerman, Petri & Conlin, Andrew & Svento, Rauli
2021, Volume 31, Issue C
- S2214635021000526 Do global equity mutual funds exhibit home bias?
by Hiraki, Takato & Liu, Ming
- S2214635021000563 The downside of moralizing financial markets: Anti-Semitic stereotypes in German MTurkers
by Max, Raphael & Uhl, Matthias
- S2214635021000575 Implication of stigmatization on investors financial risk tolerance: The case of gay men
by Beer, Francisca M. & Wellman, Joseph D.
- S2214635021000587 Trust in the government increases financial well-being and general well-being during COVID-19
by Barrafrem, Kinga & Tinghög, Gustav & Västfjäll, Daniel
- S2214635021000599 Bond intraday momentum
by Zhang, Wei & Wang, Pengfei & Li, Yi
- S2214635021000605 Foreign shareholding, corporate governance and firm performance: Evidence from Chinese companies
by Tsafack, Georges & Guo, Lin
- S2214635021000617 Monitoring exchange rate instability in 12 selected Islamic economies
by Ariff, Mohamed & Zarei, Alireza & Bhatti, M. Ishaq
- S2214635021000629 CEO generational differences, risk taking and political connections: Evidence from Malaysian firms
by Tee, Chwee Ming & Pak, Mei Sen & Lee, Mei Yee & Majid, Abdul
- S2214635021000630 Managerial optimism and investment decision in the UK
by Elgebeily, Eman & Guermat, Cherif & Vendrame, Vasco
- S2214635021000642 How do firms attract the attention of individual investors? Shareholder perks and financial visibility
by Nose, Yoshiaki & Miyagawa, Hisao & Ito, Akitoshi
- S2214635021000654 CEO’s social capital and performance of zakat institutions: Cross-country evidence
by Syakir, Muhammad Fahmi & Risfandy, Tastaftiyan & Trinugroho, Irwan
- S2214635021000666 Behavioral biases in the NFL gambling market: Overreaction to news and the recency bias
by Durand, Robert B. & Patterson, Fernando M. & Shank, Corey A.
- S2214635021000678 Managerial ability, internal control and investment efficiency
by Chen, Suyun & Li, Zongze & Han, Binbin & Ma, Hengyun
- S2214635021000691 The impact of COVID-19 induced panic on the return and volatility of precious metals
by Umar, Zaghum & Aziz, Saqib & Tawil, Dima
- S2214635021000782 Chairman age and corporate diversification: The cases of old and powerful captains in Chinese firms
by Kayani, Umar Nawaz & Arif, Muhammad & Hoang, Khanh
- S2214635021000794 Long-run expectations of households
by Breunig, Christoph & Grabova, Iuliia & Haan, Peter & Weinhardt, Felix & Weizsäcker, Georg
- S2214635021000800 Openness, economic uncertainty, government responses, and international financial market performance during the coronavirus pandemic
by Huynh, Nhan & Dao, Anh & Nguyen, Dat
- S2214635021000812 Financial literacy: Thai middle-class women do not lag behind
by Grohmann, Antonia & Hübler, Olaf & Kouwenberg, Roy & Menkhoff, Lukas
- S2214635021000824 Political corruption and Corporate Social Responsibility (CSR)
by Hossain, Ashrafee Tanvir & Kryzanowski, Lawrence
- S2214635021000836 Why walk away from an easy gain in wealth? Evidence from a UK stock option plan
by Pendleton, Andrew & Robinson, Andrew
- S2214635021000848 Economic news and the cross-section of commodity futures returns
by Bannigidadmath, Deepa & Narayan, Paresh Kumar
- S2214635021000861 Sentiment and hype of business media topics and stock market returns during the COVID-19 pandemic
by Biktimirov, Ernest N. & Sokolyk, Tatyana & Ayanso, Anteneh
- S2214635021000873 Chief Executive Officer power and Corporate Sexual Orientation Equality
by Brodmann, Jennifer & Hossain, Ashrafee & Masum, Abdullah Al & Singhvi, Meghna
- S2214635021000885 Decoding bias: Gendered language in finance internship job postings
by Oldford, Erin & Fiset, John
- S2214635021000897 The old guard: CEO age and corporate litigation
by Malm, James & Adhikari, Hari P. & Krolikowski, Marcin W. & Sah, Nilesh B.
- S2214635021000903 Does Bitcoin React to Trump’s Tweets?
by Huynh, Toan Luu Duc
- S2214635021000915 Is beauty skin deep?
by Ganji, Gajanan & Kale, Arati & Kale, Devendra
- S2214635021000927 The impact of information provision to parents: Experimental evidence on student outcomes
by Maldonado, Joana Elisa & De Witte, Kristof
- S2214635021000939 Individual investors’ trading behavior in Moscow Exchange and the COVID-19 crisis
by Djalilov, Abdulaziz & Ülkü, Numan
- S2214635021000940 Market news and credibility cues improve house price predictions: An experiment on bounded rationality in real estate
by Isler, Ozan & Flew, Terry & Erol, Isil & Dulleck, Uwe
- S2214635021000952 CEO centrality and stock price crash risk
by Krishnamurti, Chandrasekhar & Chowdhury, Hasibul & Han, Hien Duc
- S2214635021000964 Heterogeneous political connections and stock price crash risk: Evidence from Malaysia
by Tee, Chwee Ming & Lee, Mei Yee & Majid, Abdul
- S2214635021000976 Shilling, Squeezing, Sniping. A further explanation for late bidding in online second-price auctions
by Barbaro, Salvatore & Bracht, Bernd
- S2214635021000988 Loss of financial well-being in the COVID-19 pandemic: Does job stability make a difference?
by Vieira, Kelmara Mendes & Potrich, Ani Caroline Grigion & Bressan, Aureliano Angel & Klein, Leander Luiz
- S2214635021001015 Intraday time-series momentum and investor trading behavior
by Onishchenko, Olena & Zhao, Jing & Kuruppuarachchi, Duminda & Roberts, Helen
- S221463502100068X Reducing algorithm aversion through experience
by Filiz, Ibrahim & Judek, Jan René & Lorenz, Marco & Spiwoks, Markus
- S221463502100085X Stock price reaction to appointment of a chief health officer during COVID-19
by Ichev, Riste
- S221463502100099X Applying Behavioral Economics to microcredit in China’s rural areas
by Oliphant, Wesley & Ma, Hong
2021, Volume 30, Issue C
- S2214635021000046 What is the size of credit card debt in Brazil? Reporting Thresholds, Interest Rates and Income Distribution
by Bertran, Maria Paula & Echeverry, David
- S2214635021000071 Volatility connectedness of major cryptocurrencies: The role of investor happiness
by Bouri, Elie & Gabauer, David & Gupta, Rangan & Tiwari, Aviral Kumar
- S2214635021000083 Interaction and decomposition of gender difference in financial risk perception
by Zhu, Dan & Hodgkinson, Lynn & Wang, Qingwei
- S2214635021000137 Herding behaviour and price convergence clubs in cryptocurrencies during bull and bear markets
by Papadamou, Stephanos & Kyriazis, Nikolaos A. & Tzeremes, Panayiotis & Corbet, Shaen
- S2214635021000149 Collusive vs. coercively corrupt tax auditors and their impact on tax compliance
by Mawani, Amin & Trivedi, Viswanath Umashanker
- S2214635021000150 Puzzles of insurance demand and its biases: A survey on the role of behavioural biases and financial literacy on insurance demand
by Pitthan, Francisco & De Witte, Kristof
- S2214635021000162 Football sentiment and stock market returns: Evidence from a frontier market
by Truong, Quang-Thai & Tran, Quynh-Nhu & Bakry, Walid & Nguyen, Duc Nguyen & Al-Mohamad, Somar
- S2214635021000174 Cross-sectional association of financial anxiety, medical conditions and preferences for financial interventions
by Jones, Salene M.W.
- S2214635021000186 Investor emotions and earnings announcements
by Vamossy, Domonkos F.
- S2214635021000198 Central bank transparency and market reaction in Brazil, Chile, and Colombia
by Rai, Anoop & Rojer, Guido & Susanna, Edirel
- S2214635021000204 The influence of behavioral factors on SMES’ owners intention to adopt private finance
by Kijkasiwat, Ploypailin
- S2214635021000216 Immune or at-risk? Stock markets and the significance of the COVID-19 pandemic
by O’Donnell, Niall & Shannon, Darren & Sheehan, Barry
- S2214635021000228 Foreign-language effect and professionals’ judgments on fair value measurement: Evidence from Germany and the United Kingdom
by Hellmann, Andreas & Patel, Chris & Tsunogaya, Noriyuki
- S2214635021000241 The Ramadan effect: A standalone anomaly or just a compensation for low liquidity?
by Białkowski, Jędrzej & Yaghoubi, Mona
- S2214635021000253 Managerial optimism, investment cash flow sensitivity and agency costs: Evidence from NYSE panel data firms
by Ben Mohamed, Ezzeddine
- S2214635021000265 Association between investment risk tolerance and portfolio risk: The role of confidence level
by Yao, Zheying & Rabbani, Abed G.
- S2214635021000368 Managerial optimism and corporate investment behavior
by Ikeda, Naoshi & Inoue, Kotaro & Sugitani, Shoji
- S2214635021000381 Financial and non-financial risk attitudes: What does it matter?
by Colasante, Annarita & Riccetti, Luca
- S2214635021000393 Commonality and contrarian trading among algorithmic traders
by Arumugam, Devika & Krishna Prasanna, P.
- S2214635021000411 Revisiting the determinants of individual sustainable investment—The case of Japan
by Gutsche, Gunnar & Nakai, Miwa & Arimura, Toshi H.
- S2214635021000423 The COVID-19 pandemic and speculation in energy, precious metals, and agricultural futures
by Sifat, Imtiaz & Ghafoor, Abdul & Ah Mand, Abdollah
- S2214635021000435 What determines Manager and Investor Sentiment?
by Gregory, Richard Paul
- S2214635021000447 Executives’ gender-diversity, education, and firm’s bankruptcy risk: Evidence from China
by Cho, Eunho & Okafor, Collins & Ujah, Nacasius & Zhang, Linmei
- S2214635021000459 A tale of company fundamentals vs sentiment driven pricing: The case of GameStop
by Umar, Zaghum & Gubareva, Mariya & Yousaf, Imran & Ali, Shoaib
- S2214635021000460 Nudging against panic selling: Making use of the IKEA effect
by Ashtiani, Amin Zokaei & Rieger, Marc Oliver & Stutz, David
- S2214635021000472 Payment methods and the disposition effect: Evidence from Indonesian mutual fund trading
by Dalla Costa, Aldo Fortunato & Mollica, Vito & Singh, Abhay
- S2214635021000484 Short sales restrictions and market quality: Evidence from Korea
by Eom, Yunsung & Hahn, Jaehoon & Sohn, Wook
- S2214635021000496 Unsticking credit card repayments from the minimum: Advice, anchors and financial incentives
by Hendy, Patrick & Slonim, Robert & Atalay, Kadir
- S2214635021000502 Do multiple competing offerings on a crowdfunding platform influence investment behavior?
by Ferretti, Riccardo & Venturelli, Valeria & Pedrazzoli, Alessia
- S2214635021000514 Improving stock price prediction using the long short-term memory model combined with online social networks
by Liu, Keyan & Zhou, Jianan & Dong, Dayong
- S2214635021000538 Abnormal volatility in seasoned equity offerings during economic disruptions
by Prasad, Mason & Bakry, Walid & Varua, Maria Estela
- S2214635021000551 Retail investor risk-seeking, attention, and the January effect
by Chen, Zhongdong & Schmidt, Adam & Wang, Jin’ai
- S221463502100023X Translation of International Financial Reporting Standards and implications for judgments and decision-making
by Hellmann, Andreas & Patel, Chris
- S221463502100037X Do opinion polls on government preference influence stock returns?
by Narayan, Paresh Kumar & Narayan, Seema
- S221463502100040X Working capital management and CEO age
by Burney, Robert B. & James, Hui Liang & Wang, Hongxia
- S221463502100054X How important is trust in driving financial inclusion?
by Ghosh, Saibal
2021, Volume 29, Issue C
- S2214635020303397 Cash is Queen: Female CEOs’ propensity to hoard cash
by Sah, Nilesh B.
- S2214635020303439 An examination of diversification on bank profitability and insolvency risk in 28 financially liberalized markets
by Nguyen, James & Parsons, Richard & Argyle, Bronson
- S2214635020303555 COVID-19 containment measures and stock market returns: An international spatial econometrics investigation
by Alexakis, Christos & Eleftheriou, Konstantinos & Patsoulis, Patroklos
- S2214635020303646 A behavioral explanation of credit ratings and leverage adjustments
by Joo, M. Hashemi & Parhizgari, A.M.
- S2214635020303701 Air pollution and behavioral biases: Evidence from stock market anomalies
by Nguyen, Hung T. & Pham, Mia Hang
- S2214635020303713 Stability efficiency in Islamic banks: Does board governance matter?
by Safiullah, Md
- S2214635020303725 Antecedents of consumer indebtedness in a majority-Muslim country: Assessing the moderating effects of gender and religiosity using PLS-MGA
by Lebdaoui, Hind & Chetioui, Youssef
- S2214635020303737 Two selves and two minds in a longitudinal survey of risk attitudes
by Campara, Jessica & Da Costa, Newton & Matsushita, Raul & Da Silva, Sergio
- S2214635020303749 Risky decision under laboratory deadline with experience and indirect self-selection
by Banerjee, Priyodorshi & Das, Tanmoy
- S2214635020303750 A review of the Post-Earnings-Announcement Drift
by Fink, Josef
- S2214635020303762 An analysis of the impact of President Trump’s tweets on the DJIA and S&P 500 using machine learning and sentiment analysis
by Kinyua, Johnson D. & Mutigwe, Charles & Cushing, Daniel J. & Poggi, Michael
- S2214635020303774 Financial news and CDS spreads
by Narayan, Paresh Kumar & Bannigidadmath, Deepa
- S2214635020303786 Pension behavior and policy
by Newall, Philip W.S. & Peacey, Mike W.
- S2214635020303798 The impact of financial literacy and financial interest on risk tolerance
by Hermansson, Cecilia & Jonsson, Sara
- S2214635020303804 Does investor attention matter for market anomalies?
by Nguyen, Hung T. & Pham, Mia Hang
- S2214635020303816 The underlying motivational process behind portfolio diversification choice decisions of individual investors: An experimental design
by Sengupta, Atri & Deb, Soumya Guha & Mittal, Shashank
- S2214635020303828 Googlization and retail trading activity
by Desagre, Christophe & D’Hondt, Catherine
- S2214635020303841 Financial inclusion and ethnic development: Evidence from satellite light density at night
by Dakhlia, Sami & Diallo, Boubacar & Temimi, Akram
- S2214635020303853 Exchange-traded certificates, education and the disposition effect
by da Silva, Paulo Pereira & Mendes, Victor
- S2214635021000010 The dark triad and investment behavior
by Suchanek, Max
- S2214635021000022 Political connections of Russian corporations: Blessing or curse?
by Trifonov, Dmitri
- S2214635021000034 Goodwill impairment and CEO overconfidence
by Killins, Robert & Ngo, Thanh & Wang, Hongxia
- S2214635021000058 Does robo-advisory help reduce the likelihood of carrying a credit card debt? Evidence from an instrumental variable approach
by Bai, Zefeng
- S2214635021000095 Market signaling capacity of written and visual charismatic leadership tactics
by Fiset, John & Oldford, Erin & Chu, Shaner
- S2214635021000101 Static and regime-dependent herding behavior: An emerging market case study
by Ah Mand, Abdollah & Sifat, Imtiaz
- S2214635021000125 Measuring the disposition effect
by De Winne, Rudy
- S221463502030383X COVID-19 pandemic and stock market response: A culture effect
by Fernandez-Perez, Adrian & Gilbert, Aaron & Indriawan, Ivan & Nguyen, Nhut H.
- S221463502100006X Do they recall their past? CEOs’ liquidity policies across firms as they switch jobs
by Enkhtaivan, Bolortuya & Davaadorj, Zagdbazar
2020, Volume 28, Issue C
- S2214635020300216 The cohabitation of institutional investors with the government: A case study of the TARP–CPP program
by Wang, Daphne & Jory, Surendranath R. & Ngo, Thanh
- S2214635020303130 Discount rate behaviour in fair value reporting
by He, Liyu
- S2214635020303142 How important is social trust during the COVID-19 crisis period? Evidence from the Fed announcements
by Mazumder, Sharif
- S2214635020303245 Terror attacks and individual investor behavior: Evidence from the 2015–2017 European terror attacks
by Hasso, Tim & Pelster, Matthias & Breitmayer, Bastian
- S2214635020303257 Equity premium puzzle — Evidence from Poland
by Łukowski, Michał & Gemra, Kamil & Maruszewski, Janusz & Śliwiński, Paweł & Zygmanowski, Piotr
- S2214635020303269 How does air pollution-induced fund-manager mood affect stock markets in China?
by Wu, Qinqin & Chou, Robin K. & Lu, Jing
- S2214635020303270 z-Tree unleashed: A novel client-integrating architecture for conducting z-Tree experiments over the Internet
by Duch, Matthias L. & Grossmann, Max R.P. & Lauer, Thomas
- S2214635020303282 Effectiveness of policy measures to promote employee share ownership programs in banks
by Tran, Phan Huy Hieu
- S2214635020303294 When financial literacy meets textual analysis: A conceptual review
by Li, Xiao
- S2214635020303300 The impact of Coronavirus (COVID-19) outbreak on faith-based investments: An original analysis
by Sherif, Mohamed
- S2214635020303312 A time–frequency analysis of the impact of the Covid-19 induced panic on the volatility of currency and cryptocurrency markets
by Umar, Zaghum & Gubareva, Mariya
- S2214635020303324 A proposal of a financial knowledge scale based on item response theory
by Vieira, Kelmara Mendes & Potrich, Ani Caroline Grigion & Bressan, Aureliano Angel
- S2214635020303336 Preferences for sustainable and responsible equity funds - A choice experiment with Swedish private investors
by Lagerkvist, C.J. & Edenbrandt, A.K. & Tibbelin, I. & Wahlstedt, Y.
- S2214635020303348 Good vibes only: The crypto-optimistic behavior
by Caferra, Rocco
- S2214635020303361 Switching costs in Islamic banking: The impact on market power and financial stability
by Miah, Mohammad Dulal & Kabir, Md. Nurul & Safiullah, Md
- S2214635020303373 Financial well-being, COVID-19, and the financial better-than-average-effect
by Barrafrem, Kinga & Västfjäll, Daniel & Tinghög, Gustav
- S2214635020303385 Impact of social capital on tone ambiguity in banks’ 10-K filings
by Kanagaretnam, Kiridaran & Mawani, Amin & Shi, Guifeng & Zhou, Zejiang
- S2214635020303403 Trading volume and realized higher-order moments in the Australian stock market
by Ahadzie, Richard Mawulawoe & Jeyasreedharan, Nagaratnam
- S2214635020303415 The prediction of future cash flows based on operating cash flows, earnings and accruals in the French context
by Noury, Benjamin & Hammami, Helmi & Ousama, A.A. & Zeitun, Rami
- S2214635020303427 An overview of share buybacks: A descriptive case from Malaysia
by Alquhaif, Abdulsalam & Al-Gamrh, Bakr & Abdul Latif, Rohaida
- S2214635020303440 Corruption and capital structure in emerging markets: A panel quantile regression approach
by Singh, Bhanu Pratap & Kannadhasan, M.
- S2214635020303452 A complex networks based analysis of jump risk in equity returns: An evidence using intraday movements from Pakistan stock market
by Aslam, Faheem & Mohmand, Yasir Tariq & Aziz, Saqib & Ouenniche, Jamal
- S221463502030335X Indecisive algos: Do limit order revisions increase market load?
by Jurich, Stephen N. & Mishra, Ajay Kumar & Parikh, Bhavik
2020, Volume 27, Issue C
- S2214635019301170 Behavior when the chips are down: An experimental study of wealth effects and exchange media
by Stivers, Adam & Tsang, Ming & Deaves, Richard & Hoffer, Adam
- S2214635019301893 Subjective self-control but not objective measures of executive functions predicts financial behavior and well-being
by Strömbäck, Camilla & Skagerlund, Kenny & Västfjäll, Daniel & Tinghög, Gustav
- S2214635019302266 A complete empirical ensemble mode decomposition and support vector machine-based approach to predict Bitcoin prices
by Aggarwal, Divya & Chandrasekaran, Shabana & Annamalai, Balamurugan
- S2214635019302333 Latent factor model for asset pricing
by Uddin, Ajim & Yu, Dantong
- S2214635019302503 Applications of Artificial Intelligence in commercial banks – A research agenda for behavioral finance
by Königstorfer, Florian & Thalmann, Stefan
- S2214635019302576 Protecting investors from themselves: Evidence from a regulatory intervention
by Firth, Chris
- S2214635019302667 The inequality debate: Do financial markets matter?
by Azmat, Saad & Ayub, Ahmad & Brown, Kym & Skully, Michael
- S2214635019302928 Board influence on a firm’s long-term success: Australian evidence
by He, Liyu & He, Rong & Evans, Elaine
- S2214635019302965 Gambling activity and stock price volatility: A cross-country analysis
by Blau, Benjamin M. & Whitby, Ryan J.
- S2214635019303041 A new European investor sentiment index (EURsent) and its return and volatility predictability
by Reis, Pedro Manuel Nogueira & Pinho, Carlos
- S2214635019303120 Measurement of risk preference
by Filiz, Ibrahim & Nahmer, Thomas & Spiwoks, Markus & Gubaydullina, Zulia
- S2214635020300034 Decision making biased: How visual illusion, mood, and information presentation plays a role
by Rosdini, Dini & Sari, Prima Yusi & Amrania, Gia Kardina Prima & Yulianingsih, Pera
- S2214635020300125 Societal trust and banks’ funding structure
by Jin, Justin Y. & Kanagaretnam, Kiridaran & Wang, Wenting
- S2214635020300137 The “Black Thursday” effect in Chinese stock market
by Luo, Kevin & Tian, Shuairu
- S2214635020300174 How does corruption undermine banking stability? A threshold nonlinear framework
by Ben Ali, Mohamed Sami & Fhima, Fredj & Nouira, Ridha
- S2214635020300459 Clarifying managerial biases using a probabilistic framework
by Ellina, Polina & Mascarenhas, Briance & Theodossiou, Panayiotis
- S2214635020300496 Cash value life insurance ownership among young adults: The role of self-discipline and risk tolerance
by Rabbani, Abed G.
- S2214635020300599 The effect of return jumps on herd behavior
by Wanidwaranan, Phasin & Padungsaksawasdi, Chaiyuth
- S2214635020300800 Death and contagious infectious diseases: Impact of the COVID-19 virus on stock market returns
by Al-Awadhi, Abdullah M. & Alsaifi, Khaled & Al-Awadhi, Ahmad & Alhammadi, Salah
- S2214635020300873 Quantifying the cross sectional relation of daily happiness sentiment and return skewness: Evidence from US industries
by Zhao, Ruwei
- S2214635020300940 Emotional and attentional influences of photographs on impression management and financial decision making
by Ang, Lawrence & Hellmann, Andreas & Kanbaty, Majid & Sood, Suresh
- S2214635020300952 Sex and “the City”: Financial stress and online pornography consumption
by Donadelli, Michael & Lalanne, Marie
- S2214635020300964 This time is indeed different: A study on global market reactions to public health crisis
by Schell, Daniel & Wang, Mei & Huynh, Toan Luu Duc
- S2214635020301039 Domain-specific risk-taking among finance professionals
by Razen, Michael & Kirchler, Michael & Weitzel, Utz
- S2214635020301350 Coronavirus (COVID-19) — An epidemic or pandemic for financial markets
by Ali, Mohsin & Alam, Nafis & Rizvi, Syed Aun R.
- S2214635020301386 COVID-19: Media coverage and financial markets behavior—A sectoral inquiry
by Haroon, Omair & Rizvi, Syed Aun R.
- S2214635020302136 The COVID-19 global fear index and the predictability of commodity price returns
by Salisu, Afees A. & Akanni, Lateef & Raheem, Ibrahim
- S2214635020302422 Economic impact of government interventions during the COVID-19 pandemic: International evidence from financial markets
by Ashraf, Badar Nadeem
- S221463501930214X Behavioural finance in an era of artificial intelligence: Longitudinal case study of robo-advisors in investment decisions
by Shanmuganathan, Manchuna
2020, Volume 26, Issue C
- S2214635019300760 Do optimistic managers destroy firm value?
by Ben Mohamed, Ezzeddine & Garoui, Nassreddine & Naoui, Kamel
- S2214635019300772 Does social capital influence corporate risk-taking?
by Panta, Humnath
- S2214635019301091 Shill bidding and trust
by McCannon, Bryan C. & Minuci, Eduardo
- S2214635019302059 Patent text similarity and cross-cultural venture-backed innovation
by Trevor Rogers, F.
- S2214635019302163 Unraveling the relationship between social moods and the stock market: Evidence from the United Kingdom
by Saurabh, Samant & Dey, Kushankur
- S2214635019302229 Infographics in corporate sustainability reports: Providing useful information or used for impression management?
by Kanbaty, Majid & Hellmann, Andreas & He, Liyu
- S2214635019302291 A framework for analyzing financial behavior using machine learning classification of personality through handwriting analysis
by Thomas, Sheetal & Goel, Mridula & Agrawal, Dipak
- S2214635019302357 Fast and Frugal heuristics augmented: When machine learning quantifies Bayesian uncertainty
by Gadzinski, Gregory & Castello, Alessio
- S2214635019302540 Compulsory versus voluntary savings as an incentive mechanism in microfinance programs
by Bruno, Olivier & Khachatryan, Knar
- S2214635019302874 The relevance of professional skepticism to finance professionals’ Socially Responsible Investing decisions
by Dela Cruz, Aeson Luiz & Patel, Chris & Ying, Sammy & Pan, Peipei
- S2214635019303119 Does mood affect institutional herding?
by Gavriilidis, Konstantinos & Kallinterakis, Vasileios & Öztürkkal, Belma
- S2214635020300162 The investor that could and would: The effect of proactive personality on sustainable investment choice
by Vanwalleghem, Dieter & Mirowska, Agata
- S2214635020300265 Credence goods in the literature: What the past fifteen years have taught us about fraud, incentives, and the role of institutions
by Balafoutas, Loukas & Kerschbamer, Rudolf
- S221463501930228X Do words reveal the latent truth? Identifying communication patterns of corporate losers
by Kumar, Rahul & Deb, Soumya Guha & Mukherjee, Shubhadeep
- S221463501930293X Prevention focus and prior investment failure in financial decision making
by Ewe, Soo Yeong & Lee, Christina Kwai Choi & Watabe, Motoki
- S221463502030023X Risk-taking on behalf of others
by Eriksen, Kristoffer W. & Kvaløy, Ola & Luzuriaga, Miguel
2020, Volume 25, Issue C
- S2214635018302715 An oTree-based flexible architecture for financial market experiments
by Aldrich, Eric M. & Demirci, Hasan Ali & López Vargas, Kristian
- S2214635019300747 Ambiguity attitudes and myopic loss aversion: Experimental evidence using carnival games
by Aggarwal, Divya & Damodaran, Uday
- S2214635019300991 Are individual investors irrational or adaptive to market dynamics?
by Mushinada, Venkata Narasimha Chary
- S2214635019301522 Risk aversion, prudence and temperance: It is a matter of gap between moments
by Colasante, Annarita & Riccetti, Luca
- S2214635019301534 Herding and anchoring in cryptocurrency markets: Investor reaction to fear and uncertainty
by Gurdgiev, Constantin & O’Loughlin, Daniel
- S2214635019301807 Pricing of IPOs under legally-mandated concentrated ownership and commitment period: Evidence from a natural experiment for REITs in Turkey
by Erol, Isil & Tirtiroglu, Dogan & Tirtiroglu, Ercan
- S2214635019301881 Robo-advisors: A substitute for human financial advice?
by Brenner, Lukas & Meyll, Tobias
- S2214635019302072 Combining multiple probability predictions in the presence of class imbalance to discriminate between potential bad and good borrowers in the peer-to-peer lending market
by Zanin, Luca
- S2214635019302230 Using Artificial Neural Network techniques to improve the description and prediction of household financial ratios
by Heo, Wookjae & Lee, Jae Min & Park, Narang & Grable, John E.
- S2214635019302394 Robo advisory and its potential in addressing the behavioral biases of investors — A qualitative study in Indian context
by Bhatia, Ankita & Chandani, Arti & Chhateja, Jagriti
- S2214635019302606 Does financial literacy affect the value of financial advice? A contingent valuation approach
by Chauhan, Yogesh & Dey, Dipanjan Kumar
- S2214635019302953 Overconfidence and the 2D:4D ratio
by da Silva, Eduardo Borges & Silva, Thiago Christiano & Constantino, Michel & Amancio, Diego Raphael & Tabak, Benjamin Miranda
- S221463501830282X Does owners’ purchase price affect rent offered? Experimental evidence
by Hirota, Shinichi & Suzuki-Löffelholz, Kumi & Udagawa, Daisuke
- S221463501930276X Towards a conceptual framework for analysing impression management during face-to-face communication
by Hellmann, Andreas & Ang, Lawrence & Sood, Suresh
2019, Volume 24, Issue C
- S2214635018302697 The disposition effect and the relevance of the reference period: Evidence among sophisticated investors
by Sarmiento, Julio & Rendón, Jairo & Sandoval, Juan S. & Cayon, Edgardo
- S2214635019300115 “Tough Guy” vs. “Cushion” hypothesis: How does individualism affect risk-taking?
by Illiashenko, Pavlo
- S2214635019300188 Stop the music? The effect of music on risky financial decisions: An experimental study
by Israel, Avi & Lahav, Eyal & Ziv, Naomi
- S2214635019300218 Herd behavior and mood: An experimental study on the forecasting of share prices
by Filiz, Ibrahim & Nahmer, Thomas & Spiwoks, Markus