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Portfolio manager behavior and global financial crises

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  • Feldman, Todd

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  • Feldman, Todd, 2010. "Portfolio manager behavior and global financial crises," Journal of Economic Behavior & Organization, Elsevier, vol. 75(2), pages 192-202, August.
  • Handle: RePEc:eee:jeborg:v:75:y:2010:i:2:p:192-202
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    Cited by:

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    2. Justyna Przychodzen, 2012. "The economic costs of economic risk in the financial market (Europejskie rynki finansowe w obliczu globalnego kryzysu)," Problemy Zarzadzania, University of Warsaw, Faculty of Management, vol. 10(39), pages 54-63.
    3. Schmitt, Noemi & Westerhoff, Frank, 2014. "Speculative behavior and the dynamics of interacting stock markets," Journal of Economic Dynamics and Control, Elsevier, vol. 45(C), pages 262-288.
    4. Feldman, Todd, 2018. "Unwinding ZIRP: A simulation analysis," Finance Research Letters, Elsevier, vol. 24(C), pages 278-288.
    5. Ming-Fu Hsu & Ying-Shao Hsin & Fu-Jiing Shiue, 2022. "Business analytics for corporate risk management and performance improvement," Annals of Operations Research, Springer, vol. 315(2), pages 629-669, August.

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