Content
August 2024, Volume 16, Issue 6
- 1029-1058 Shariah compliance fatigue and earnings quality: evidence from MENA
by Harit Satt & George Iatridis - 1059-1086 Do executive facial trustworthiness have impact on IPO underpricing in the Indonesia stock exchange?
by I. Putu Sukma Hendrawan & Cynthia Afriani Utama - 1087-1113 Global reversal strategy: equilibrium of endogenous trading?
by Alain Wouassom - 1114-1130 Price delay and herding: evidence from the cryptocurrency market
by Barbara Abou Tanos & Omar Meharzi
September 2024, Volume 16, Issue 6
- 1131-1150 Deciphering CEO disclosure tone inconsistency: a behavioural exploration
by Azam Pouryousof & Farzaneh Nassirzadeh & Davood Askarany - 1151-1170 Lottery stocks in Brazil: investigating risk premium and investor behavior
by Gabriel Sifuentes Rocha & Márcio Poletti Laurini
June 2024, Volume 16, Issue 6
- 973-997 Hierarchical complexity and seasoned equity offerings
by Viet Anh Hoang & Huu Cuong Nguyen & Ba Thanh Truong & Phuong Uyen Le & Hoang Long Phan & Thi Hong An Thai
July 2024, Volume 16, Issue 6
- 998-1011 Stock price overreaction: evidence from bull and bear markets
by Valeriy Zakamulin - 1012-1028 Exploring the Nordic numbers: an analysis of price clustering in Scandinavian stocks
by Júlio Lobão & Luís Pacheco & Daniel Carvalho
March 2024, Volume 16, Issue 5
- 773-791 Another look at the price clustering behavior: evidence from the Muscat stock exchange
by Tarek Chebbi & Hazem Migdady & Waleed Hmedat & Maha Shehadeh - 792-818 The differential impact of quantitative and qualitative information on outbound cross-border acquisition outcomes: evidence from emerging economies
by Sugandh Ahuja & Shveta Singh & Surendra Singh Yadav
April 2024, Volume 16, Issue 5
- 819-835 The impact of investor greed and fear on cryptocurrency returns: a Granger causality analysis of Bitcoin and Ethereum
by Everton Anger Cavalheiro & Kelmara Mendes Vieira & Pascal Silas Thue - 836-859 Agent expectations and news sentiment in the dynamics of price in a financial market
by Steven D. Silver
May 2024, Volume 16, Issue 5
- 860-882 Non-professional versus professional investors’ trust in financial analysts’ recommendations and influences on investments
by Magnus Jansson & Patrik Michaelsen & Doron Sonsino & Tommy Gärling - 883-903 Framing effect and disposition effect: investment decisions tools to understand bounded rationality
by Andreas Kiky & Apriani Dorkas Rambu Atahau & Linda Ariany Mahastanti & Supatmi Supatmi - 904-924 Returns on complex bets: evidence from Asian Handicap betting on soccer
by Tadgh Hegarty & Karl Whelan
June 2024, Volume 16, Issue 5
- 925-957 Herding behaviour surrounding the Russo–Ukraine war and COVID-19 pandemic: evidence from energy, metal, livestock and grain commodities
by Azhar Mohamad - 958-969 Are women more risk averse in investments? Brazilian evidence
by Rachel Borges Cyrino De Sá & Mathias Schneid Tessmann & Alex Cerqueira Pinto
February 2024, Volume 16, Issue 4
- 682-711 The impact of CEO narcissism and optimism on capital structure under pandemic conditions
by Elena Fedorova & Alexandr Nevredinov & Pavel Drogovoz - 712-732 The growth of the real estate corporate bond market in Vietnam: the role of investor sentiment
by Nhung Thi Nguyen & An Tuan Nguyen & Dinh Trung Nguyen - 733-753 Air pollution and stock market returns: actual effect vs public attention in an Indian context
by Anirudh Singh & Madhumita Chakraborty - 754-771 Conscientiousness and entrepreneurship
by Sarah Khalaf
January 2024, Volume 16, Issue 4
- 620-642 Financial literacy bias: a comparison between students and nonstudents
by Helder Sebastião & Nuno Silva & Pedro Torres & Pedro Godinho - 643-667 Behavioral biases of cryptocurrency investors: a prospect theory model to explain cryptocurrency returns
by Manisha Yadav - 668-681 Examining the association between robo-advisory and perceived financial satisfaction
by Zefeng Bai
November 2023, Volume 16, Issue 4
- 581-599 Risk preference, payday loans and other alternative financial services
by Song Wang
December 2023, Volume 16, Issue 4
- 600-619 How do personality traits affect investors' decision on crypto market including cryptocurrencies and NFTs?
by Ji Luo & Qingning Cao & Shuguang Zhang
December 2023, Volume 16, Issue 3
- 533-550 Exogenous shock: hierarchical effect of the industrial entrepreneur confidence in the mist of the COVID-19 pandemic
by Elimar Veloso Conceição & Fabiano Guasti Lima
September 2023, Volume 16, Issue 3
- 381-393 Herding behavior by socially responsible investors during the COVID-19 pandemic
by Manuel Lobato & Javier Rodríguez & Herminio Romero-Perez - 394-405 Financial risk-taking in adult attention deficit hyperactivity disorder
by Çağrı Hamurcu & Hayriye Dilek Yalvac Hamurcu & Merve Karakuş
November 2023, Volume 16, Issue 3
- 424-438 Investigation of herding behavior using machine learning models
by Muhammad Asim & Muhammad Yar Khan & Khuram Shafi - 460-485 Investor sentiments revisited: negligence of stock-level sentiments may be a mistake
by Te-Kuan Lee & Askar Koshoev - 486-509 Sentiment investor, exchange rates, geopolitical risk and developing stock market: evidence of co-movements in the time-frequency domain during RussiaUkraine war
by Fatma Hachicha - 510-532 Analyst coverage and the probability of stock price crash and jump
by Mohammed Bouaddi & Omar Farooq & Catalina Hurwitz - 551-579 Familiarity bias in direct stock investment by individual investors
by Shan Lei & Ani Manakyan Mathers
October 2023, Volume 16, Issue 3
- 406-423 Herd behavior in cryptocurrency market: evidence of network effect
by Phasin Wanidwaranan & Santi Termprasertsakul - 439-459 The value and growth effect in the Vietnamese stock market: a mispricing explanation
by Le Quy Duong
May 2023, Volume 16, Issue 2
- 223-233 Emojis and stock returns
by Felix Reschke & Jan-Oliver Strych - 248-265 Financial stress and gambling motivation: the importance of financial literacy
by Dalina Amonhaemanon
August 2023, Volume 16, Issue 2
- 300-321 Are small waves fondle and big waves overturn? Market reaction and corporate governance during four COVID-19 waves
by Imen Khanchel & Naima Lassoued - 322-340 Can virtual reality nudge toward green investing? An experiment with small business entrepreneurs
by Achilleas Vassilopoulos & Lydia Papadaki & Phoebe Koundouri
September 2023, Volume 16, Issue 2
- 341-359 Herding and Google search queries in the Brazilian stock market
by Jeferson Carvalho & Paulo Vitor Jordão da Gama Silva & Marcelo Cabus Klotzle - 360-377 The nexus between herding behavior and spillover: evidence from G7 and BRICS
by Sarra Gouta & Houda BenMabrouk
June 2023, Volume 16, Issue 2
- 266-281 Investigating macro herd behaviour: evidence from publicly traded German companies
by Sándor Erdős & Patrik László Várkonyi
April 2023, Volume 16, Issue 2
- 205-222 Gambling on the stock market: the behavior of at-risk online traders
by Philippe Grégoire & Melanie Rose Dixon & Isabelle Giroux & Christian Jacques & Annie Goulet & James Eaves & Serge Sévigny - 234-247 Do crypto investors wait and see during policy uncertainty? An examination of the dynamic relationships between policy uncertainty and exchange inflows of Bitcoin
by Linh Thi My Nguyen & Phong Thanh Nguyen
July 2023, Volume 16, Issue 2
- 282-299 Do heuristics affect Brazilian investors’ decision-making process?
by Virgílio Vasconcelos Souza & Lucas Lopes Ferreira Souza & Oderlene Oliveira & Elnivan Moreira de Souza & Juliana Silva Costa
January 2023, Volume 16, Issue 1
- 39-59 Ambiguity and asset prices: a closer look in an emerging market
by Merve G. Cevheroğlu-Açar & Cenk C. Karahan - 60-84 The asymmetric effect of COVID-19 on investor sentiment: evidence from NARDL model
by Mehdi Mili & Asma Yahiya Al Amoodi & Hana Bawazir
March 2023, Volume 16, Issue 1
- 85-95 Does Russia–Ukraine war generate herding behavior in Moscow Exchange?
by Khemaies Bougatef & Imen Nejah - 96-111 CEO social network, capital structure complexity and firm performance
by Hardeep Singh Mundi - 112-129 The impact of unproved reserve news on the energy stock volatility: an empirical investigation on Turkey
by Sabri Burak Arzova & Ayben Koy & Bertaç Şakir Şahin
May 2023, Volume 16, Issue 1
- 130-166 Target return as efficient driver of risk-taking
by Catherine D'Hondt & Rudy De Winne & Aleksandar Todorovic
August 2022, Volume 16, Issue 1
- 186-201 Household stock market participation in South Africa: the role of financial literacy and social interactions
by Kingstone Nyakurukwa & Yudhvir Seetharam
June 2022, Volume 16, Issue 1
- 167-185 The disposition effect and its manifestations in South African investor teams
by Philani Shandu & Imhotep Paul Alagidede
October 2022, Volume 16, Issue 1
- 1-16 Tone complexity and the cost of debt retrospective data from the USA
by Fatimazahra Bendriouch & Imad Jabbouri & Harit Satt & Zineb Jariri & Mohamed M'hamdi
November 2022, Volume 16, Issue 1
- 17-38 A market sentiment indicator, behaviourally grounded, for the analysis and forecast of volatility and bubbles
by Clio Ciaschini & Maria Cristina Recchioni
July 2022, Volume 15, Issue 6
- 846-864 Personality traits and behavioral biases of Indian financial professionals
by H. Kent Baker & Sujata Kapoor & Tanu Khare - 865-888 Socially responsible investment behavior: a study of individual investors from India
by Renu Jonwall & Seema Gupta & Shuchi Pahuja - 889-915 Does herding behavior explain the contagion of the COVID-19 crisis?
by Achraf Ghorbel & Yasmine Snene & Wajdi Frikha
September 2022, Volume 15, Issue 6
- 811-826 Empirical evidence of attribute framing: the case of unsophisticated IPO investors
by Albert Rapp - 935-946 The association between financial literacy confidence and financial satisfaction
by Blain Pearson & Thomas Korankye
October 2022, Volume 15, Issue 6
- 947-969 Democracy and access to finance in developing countries
by Omar Farooq & Khondker Aktaruzzaman
June 2022, Volume 15, Issue 6
- 781-794 Risk attitudes and demand for insurance: micro evidence from Ghana
by Patrick Opoku Asuming & Deborah Aba Gaisie - 795-810 Determinants of annual reports complexity in the United States of America: an application of the Tobit model
by Fatimazahra Bendriouch & Imad Jabbouri & Mohamed M'hamdi & Harit Satt & Sara Katona & Rhita Serir - 827-845 Management accountants' susceptibility to overconfidence: the overplacement perspective
by Zack Enslin
August 2022, Volume 15, Issue 6
- 916-934 CIO equity compensation and IT investment: the moderating role of board monitoring and evidence of managerial myopia
by Serdar Turedi & Asligul Erkan-Barlow
April 2022, Volume 15, Issue 5
- 709-728 Time-varying herding spillover for emerging countries: evidence from BRIC countries and Turkey
by Muhammad Yasir & A. Özlem Önder
March 2022, Volume 15, Issue 5
- 617-633 Herding behaviour in the Islamic bank market: evidence from the Gulf region
by Imran Yousaf & Jassem Alokla - 634-651 An experimental investigation of the “follow own signal” decision rule under increased information uncertainty
by Ming Tsang & Adam Stivers - 652-671 Forecasting foreign exchange rates as group experiment: actuality bias and fact-convergence effect within wisdom of crowds
by Haruo H. Horaguchi - 672-693 Firm-specific sentiment and individual option's implied volatility slope
by Bei Chen & Quan Gan - 694-708 Trading behavior of Swedish retirement investors during the COVID-19 pandemic
by Johannes Hagen & Amedeus Malisa & Thomas Post
June 2022, Volume 15, Issue 5
- 729-749 The impact of anchoring bias on investment decision-making: evidence from Ghana
by Sally Peaches Owusu & Esther Laryea - 750-778 Feedback trading in global stock markets under uncertainty of COVID-19
by Esra Alp Coşkun
February 2022, Volume 15, Issue 4
- 429-476 Feedback trading: a review of theory and empirical evidence
by Fotini Economou & Konstantinos Gavriilidis & Bartosz Gebka & Vasileios Kallinterakis - 477-487 Infectious disease (COVID-19)-related uncertainty and the safe-haven features of bonds markets
by Shoaib Ali & Imran Yousaf & Zaghum Umar - 511-533 Bearish conditions and volatility persistence during COVID-19 can microchip stocks weather the storm?
by Mutaju Isaack Marobhe & Pastory Dickson - 534-549 Buy together, but recycle alone: sentiment-driven herding behavior in oceanic dry bulk shipping
by Konstantinos D. Melas & Nektarios A. Michail - 592-614 The effect of annual reports tone complexity on firms' dividend policy: evidence from the United States
by Harit Satt & George Iatridis
March 2022, Volume 15, Issue 4
- 488-510 Credit record overconfidence and alternative financial service use
by Christi R. Wann & Beverly K. Brockman & Christopher M. Brockman - 550-569 A volatile mind? Experimental evidence on dealers' biases and market volatility
by Smita Roy Trivedi - 570-591 Influence of bull and bear market phase on financial risk tolerance of urban individual investors in an emerging economy
by Neha Arora & Brijesh K. Mishra
August 2022, Volume 15, Issue 3
- 309-339 Can downside-risk measures help to explain the reluctance of households to invest in XTFs? An empirical study using the SHS-base
by Hans Philipp Wanger & Andreas Oehler - 340-354 The impact sporting and financial performance of football clubs on their stock price: an analytical study of European clubs sample listed in the financial market
by Nazar Habeeb Abbas
May 2022, Volume 15, Issue 3
- 275-291 Predatory trading: ethics judgments, legality judgments and investment intentions
by Daphne Sobolev & James Clunie - 292-308 Judgments of ethically questionable financial practices: a new perspective
by Daphne Sobolev & James Clunie
January 2022, Volume 15, Issue 3
- 355-370 A new behavioral finance mean variance framework
by Todd Feldman & Shuming Liu - 371-395 Competitive advantage in algorithmic trading: a behavioral innovation economics approach
by Ricky Cooper & Wendy L. Currie & Jonathan J.M. Seddon & Ben Van Vliet - 396-409 Does competition in product markets affect the value of analyst coverage? Evidence from an emerging market
by Omar Farooq & Fatimazahra Bendriouch & Harit Satt & Saad Archane
February 2022, Volume 15, Issue 3
- 410-426 Can personality traits influence Brazilian university students' financial literacy?
by Marco Antonio de Oliveira Vieira Goulart & Newton Carneiro Affonso da Costa Jr & Ana Luiza Paraboni & Mônica Maria Mendes Luna
January 2022, Volume 15, Issue 2
- 240-256 LGBT-supportive corporate policies, risk aversion and mitigation and economic policy uncertainty
by Chaiyuth Padungsaksawasdi & Sirimon Treepongkaruna & Pornsit Jiraporn
June 2022, Volume 14, Issue 4
- 491-507 Investor behavior and cryptocurrency market bubbles during the COVID-19 pandemic
by Emna Mnif & Bassem Salhi & Khaireddine Mouakha & Anis Jarboui - 533-544 Short-run and long-run determinants of bitcoin returns: transnational evidence
by Priti Dubey - 545-562 Behavioural finance and cryptocurrencies
by Antonis Ballis & Thanos Verousis
April 2022, Volume 14, Issue 4
- 465-490 Do economic crises cause trading in Bitcoin?
by Jinsha Zhao
May 2022, Volume 14, Issue 4
- 508-532 Ramadan effect in the cryptocurrency markets
by Carmen Lopez-Martin
December 2021, Volume 15, Issue 2
- 205-223 Understanding the impact of borrowers' behavioural and psychological traits on credit default: review and conceptual model
by Akanksha Goel & Shailesh Rastogi - 224-239 The liquidity, performance and investor preference of socially responsible investments
by Jennifer Brodmann & Phuvadon Wuthisatian & Rama K. Malladi - 257-272 Financial inclusion and digital banking on an emergent economy
by Eva María Guerra-Leal & Florina Guadalupe Arredondo-Trapero & José Carlos Vázquez-Parra
November 2021, Volume 15, Issue 2
- 121-137 Understanding heuristics-based financial decision-making using behavioral portfolio strategies
by Kamran Quddus & Ashok Banerjee - 138-161 Stock market investment and different behavioural patterns: an exploratory study
by Metin Argan & Güven Sevil & Abdullah Yalaman & Viktor Manahov - 162-175 A new look at the meeting clustering effect
by Ángel Pardo & Eddie Santandreu - 176-204 COVID-19 pandemic sentiment and stock market behavior: evidence from an emerging market
by Byomakesh Debata & Kshitish Ghate & Jayashree Renganathan
October 2021, Volume 15, Issue 1
- 55-64 Stock markets' reaction to COVID-19: the joint impact of uncertainty avoidance culture and government response–evidence from emerging countries
by Phan Huy Hieu Tran & Thu Ha Tran - 65-78 Weather, investor psychology and stock returns: evidence from Fiji's stock market
by Janesh Sami - 79-102 Antecedents to heuristics: decoding the role of herding and prospect theory for Indian millennial investors
by Preeti Goyal & Poornima Gupta & Vanita Yadav - 103-118 Financial literacy and retirement planning in Ghana
by Emmanuel Sarpong-Kumankoma
September 2021, Volume 15, Issue 1
- 1-18 Are the saving decision patterns of bank customers also clouded by psychological biases? Evidence from Ghana
by Joseph Emmanuel Tetteh & Christopher Boachie - 19-37 What make investors herd while investing in the Indian stock market? A hybrid approach
by Muskan Sachdeva & Ritu Lehal & Sanjay Gupta & Aashish Garg - 38-54 Quarterly seasonality and momentum strategy implementation
by Daniel Folkinshteyn & Jordan Moore
May 2021, Volume 14, Issue 5
- 646-667 Will stock rise on Valentine’s Day?
by Terence Tai-Leung Chong & Siqi Hou - 701-717 Individual investor attention to stock split and the disposition effect
by Wendy Kesuma & Irwan Adi Ekaputra & Dony Abdul Chalid - 718-732 Life-cycle asset allocation and the peso problem: does ambiguity aversion matter?
by Nuno Silva
June 2021, Volume 14, Issue 5
- 668-700 Investor sentiment, realized volatility and stock returns
by Wafa Abdelmalek - 733-750 Risk and ambiguous choices: individual versus groups, an experimental analysis
by Divya Aggarwal & Uday Damodaran & Pitabas Mohanty & D. Israel - 751-771 Stock return drivers: a mix of reasons and emotions
by Chanapol Pornpikul & Sampan Nettayanun - 772-790 Asset market bubbles in an experiment with sequential information releases
by Brian D. Kluger - 791-805 Does the attention-grabbing mechanism work on Sundays? Influence of social and religious factors on investors' attention
by Riccardo Ferretti & Andrea Sciandra
April 2021, Volume 14, Issue 5
- 612-626 Empirical examination of an integrative model for asset pricing – evidence from US market
by Rajesh Kumar Bhaskaran & Sujit Kovilathumpaday Sukumaran - 627-645 Why does subjective financial literacy hinder retirement saving? The mediating roles of risk tolerance and risk perception
by Linh Thi My Nguyen & Phong Thanh Nguyen & Quynh Nguyen Nhu Tran & Thi Tuong Giang Trinh
August 2021, Volume 14, Issue 5
- 875-885 Bubble run-ups and sell-offs: a study of Indian stock market
by Anushua Banerjee & Parthajit Kayal - 886-899 Investigating association between factors fostering attention to a stock and rationales to buy it: an empirical analysis
by Ripsy Bondia & Pratap C. Biswal & Abinash Panda
July 2021, Volume 14, Issue 5
- 806-832 Motives behind the return anomaly around bonus issue announcements: the case of emerging markets
by Murat Isiker & Oktay Tas - 833-853 Investors' reactions to COVID-19 related announcements: evidence from the cargo shipping industry
by Mutaju Isaack Marobhe
September 2021, Volume 14, Issue 5
- 854-874 Limits of arbitrage and mispricing: evidence from mergers and acquisitions
by Qingzhong Ma & David A. Whidbee & Wei Zhang
March 2021, Volume 14, Issue 5
- 566-587 Herding in the crypto market: a diagnosis of heavy distribution tails
by Vijay Kumar Shrotryia & Himanshi Kalra - 588-611 Are herding transmissions in the gulf cooperation council stock markets regional or international?
by Dina Gabbori & Basel Awartani & Aktham I. Maghyereh & Nader Virk
March 2021, Volume 14, Issue 3
- 345-378 Measuring gambling activity in options market
by Bei Chen & Quan Gan - 394-409 No woman, no aggressive tax planning? A study on CEO gender and effective tax rates in the Lithuanian retail sector
by Aras Zirgulis & Maik Huettinger & Dalius Misiunas - 410-435 National culture and leverage adjustments
by Svetlana Orlova & Grant Harper - 436-462 The impact of heuristic and herding biases on portfolio construction and performance: the case of Greece
by Nektarios Gavrilakis & Christos Floros
February 2021, Volume 14, Issue 3
- 317-326 Influence of terror perceptions on individual investment behaviors: examining the moderating effects of present hedonic time perspective and consumer gender
by Jing-Yi Chen - 327-344 Mental time travel and the valuation of financial investments
by David Blake & John Pickles - 379-393 Drivers of lending decision in peer-to-peer lending in Malaysia
by Mohammad Tariqul Islam Khan & Yong Yee Xuan
March 2021, Volume 14, Issue 2
- 197-222 What is your desire? Retail investor preferences in structured products
by Rainer Baule & Patrick Muenchhalfen
February 2021, Volume 14, Issue 2
- 157-182 The asymmetric online talk effect
by Ying Zhang & Xing Lu & Wikrom Prombutr - 183-196 Multidimensional credit attitude and credit card debt behavior in the United States
by Jae Min Lee & Yoon G. Lee
January 2021, Volume 14, Issue 2
- 277-295 Investigating the low-risk anomaly in South Africa
by Yudhvir Seetharam - 296-316 Relationship between different sources of geopolitical risks and stock markets in the GCC region: a dynamic correlation analysis
by Abdullah Alqahtani & Shawkat Hammoudeh & Refk Selmi
March 2021, Volume 13, Issue 1
- 40-50 COVID-19 fear index: does it matter for stock market returns?
by Sowmya Subramaniam & Madhumita Chakraborty - 69-84 COVID-19, bitcoin market efficiency, herd behaviour
by Emna Mnif & Anis Jarboui
October 2020, Volume 14, Issue 2
- 223-236 A theory of information overload applied to perfectly efficient financial markets
by Giuseppe Pernagallo & Benedetto Torrisi
November 2020, Volume 14, Issue 2
- 237-259 Development and validation of behavioral biases scale: a SEM approach
by Ritika & Nawal Kishor - 260-276 Effect of location on access to finance: international evidence on the moderating role of employee training
by Mukhammadfoik Bakhadirov & Zakir Pashayev & Omar Farooq
September 2020, Volume 14, Issue 1
- 45-67 Skin color and investment performance in South Africa's mutual funds industry
by Nixon S. Chekenya & Shingirai Sikomwe
October 2020, Volume 14, Issue 1
- 1-15 The effectiveness of behavioural interventions on increasing revenue from local fee
by Matúš Sloboda & Patrik Pavlovský & Emília Sičáková-Beblavá - 16-34 The effect of induced mood on traders’ preferences in asset markets – experimental evidence
by Yaron Lahav & Shireen Meer - 35-44 Can the market divide and multiply? A case of 807 percent mispricing
by Martijn J. van den Assem & Dennie van Dolder & Remco C.J. Zwinkels & Marc B.J. Schauten - 68-90 The antecedents and consequence of financial well-being: a survey of parliamentarians in Ghana
by Maureen Oquaye & Godfred Matthew Yaw Owusu & Godfred Alufar Bokpin - 91-114 Herding and BRICS markets: a study of distribution tails
by Vijay Kumar Shrotryia & Himanshi Kalra - 115-129 Impact of herding on the returns in the Indian stock market: an empirical study
by Sunaina Kanojia & Deepti Singh & Ashutosh Goswami
December 2020, Volume 14, Issue 1
- 130-154 Financial literacy and financial behaviour: a bibliometric analysis
by Kavita Karan Ingale & Ratna Achuta Paluri
September 2020, Volume 13, Issue 5
- 465-485 Watch me go big: CEO narcissism and corporate acquisitions
by Tom Aabo & Mikkel Als & Lars Thomsen & Jesper N. Wulff - 502-521 Representative bubbles and deleveraging
by Francesco Strati - 522-542 Informed short selling: evidence from economically linked firms
by Fawzi Hyder & Mahsa Khoshnoud - 543-565 Personal values as drivers of socially responsible investments: a moderation analysis
by Manjit Singh & Manju Mittal & Pooja Mehta & Himanshu Singla
July 2020, Volume 13, Issue 5
- 647-662 Come together: trust, sociability and individual investors' stock-portfolio returns
by Oscar Stålnacke - 663-681 Malaysian residential mortgage loan default: a micro-level analysis
by Azira Abdul Adzis & Hock Eam Lim & Siew Goh Yeok & Asish Saha
August 2020, Volume 13, Issue 5
- 486-501 Sensation Seeking and Overconfidence in day traders: evidence from Brazil
by Paulo Antonelli-Filho & Aureliano Angel Bressan & Kelmara Mendes Vieira & Ani Caroline Grigion Potrich - 566-583 Female workers' readiness for retirement planning: an evidence from Indonesia
by Linda Evelina Larisa & Anastasia Njo & Serli Wijaya - 584-609 Psychological barriers in the electric market: study applied to the Nord Pool market
by Carlos Almeida & Mara Madaleno & Margarita Robaina - 610-630 Stock loan lotteries and individual investor welfare
by Jordan Moore - 631-646 Determinants of heterogeneity in investors' opinions on IPO valuation: evidence from the Pakistan stock market
by Waqas Mehmood & Rasidah Mohd-Rashid & Norliza Che-Yahya & Chui Zi Ong
April 2020, Volume 13, Issue 4
- 370-385 What were they thinking? Firms' expectations since the financial crisis
by Annalisa Ferrando & Ioannis Ganoulis & Carsten Preuss
July 2020, Volume 13, Issue 4
- 386-409 Investor attention and market correction
by Zhongdong Chen - 410-437 Ambiguity aversion and experiential learning: implications for long-term savings decisions
by Bryan Foltice & Rachel Rogers - 450-462 Investor sentiments and pricing errors
by Rahul Verma & Priti Verma
October 2020, Volume 13, Issue 4
- 438-449 Can financial literacy overconfidence be predicted by narcissistic tendencies?
by Cagri Hamurcu & Hayriye Dilek Hamurcu
May 2020, Volume 13, Issue 3
- 229-258 Do FEARS drive Bitcoin?
by Tobias Burggraf & Toan Luu Duc Huynh & Markus Rudolf & Mei Wang - 259-275 Financial risk-taking and trait emotional intelligence
by Alessandro Bucciol & Federico Guerrero & Dimitra Papadovasilaki - 276-296 Overconfidence and financial decision-making: a meta-analysis
by Matúš Grežo
June 2020, Volume 13, Issue 3
- 297-308 Empirical investigation of herding in cryptocurrency market under different market regimes
by Ashish Kumar
July 2020, Volume 13, Issue 3
- 332-350 Is household registration system responsible for the limited participation of stock market in China?
by Yulin Liu & Min Zhang
September 2020, Volume 13, Issue 3
- 309-331 Is there persistence among non-professionals? Evidence from the Chicago Mercantile Exchange Group Trading Challenges
by Omid Sabbaghi & Min Xu
May 2020, Volume 13, Issue 2
- 165-183 Pleasing the crowd: the determinants of securities crowdfunding success
by Elena Smirnova & Katarzyna Platt & Yu Lei & Frank Sanacory - 202-226 The influence of Google search index on stock markets: an analysis of causality in-mean and variance
by Mariano Gonzalez Sanchez
April 2020, Volume 13, Issue 2
- 109-124 An investigation of policy incentives for delaying public pension benefit claims
by Tomoki Kitamura & Kunio Nakashima - 125-140 Financial risk-taking related to individual risk preference, social comparison and competition
by Tommy Gärling & Dawei Fang & Martin Holmen & Patrik Michaelsen - 141-164 Do narcissistic CEOs rock the boat?
by Tom Aabo & Frederik Hoejland & Jesper Pedersen - 184-201 Bounded rationality in a P2P lending market
by Dongwoo Kim
July 2020, Volume 13, Issue 1
- 85-108 Simulation of the effect of COVID-19 outbreak on the development of branchless banking in Iran: case study of Resalat Qard–al-Hasan Bank
by Vahid Shahabi & Adel Azar & Farshad Faezy Razi & Mir Feyz Fallah Shams
December 2020, Volume 13, Issue 1
- 20-39 Investor attention and the response of US stock market sectors to the COVID-19 crisis
by Lee A. Smales
August 2020, Volume 13, Issue 1
- 3-19 A test of the association between the initial surge in COVID-19 cases and subsequent changes in financial risk tolerance
by Wookjae Heo & John E. Grable & Abed G. Rabbani
November 2020, Volume 13, Issue 1
- 51-68 Stock market liquidity, the great lockdown and the COVID-19 global pandemic nexus in MENA countries
by Anas Alaoui Mdaghri & Abdessamad Raghibi & Cuong Nguyen Thanh & Lahsen Oubdi
May 2020, Volume 12, Issue 4
- 435-454 Asymmetric relationship of investor sentiment with stock return and volatility: evidence from India
by Madhumita Chakraborty & Sowmya Subramaniam
April 2020, Volume 12, Issue 4
- 375-409 Do momentum and reversal strategies work in commodity futures? A comprehensive study
by Hanxiong Zhang & Andrew Urquhart - 411-433 Momentum return volatility, uncertainty, and energy prices: evidence from major international equity markets
by Spyros Spyrou
May 2020, Volume 12, Issue 1
- 1-9 Personal routes into behavioural finance
by Robert Hudson & Yaz Gulnur Muradoglu - 11-20 Investor and market overreaction: a retrospective
by Werner De Bondt - 27-34 My way to the second generation of behavioral finance
by Meir Statman - 35-68 Unfinished business: a multicommodity intertemporal planner–doer framework
by Hersh Shefrin
January 2020, Volume 12, Issue 1
- 21-25 Learning is a social activity
by Charles Goodhart
June 2019, Volume 13, Issue 4
- 354-369 Personality traits and investor sentiment
by H. Kent Baker & Satish Kumar & Nisha Goyal
November 2019, Volume 12, Issue 4
- 317-334 Abnormal trading around common factor pricing models
by Jiexin Wang & Xue Han & Emily J. Huang & Christopher Yost-Bremm - 335-356 Influence of economic freedom and its subcomponents on risk-taking behavior
by Rafik Harkati & Syed Musa Alhabshi & Salina Kassim - 357-374 Dynamics of credit decision-making: a taxonomy and a typological matrix
by Candauda Arachchige Saliya
August 2019, Volume 12, Issue 3
- 242-258 Motivating gender use in financial research: a survey of recent literature
by Kyre Dane Lahtinen - 259-281 Propensity toward financial risk tolerance: an analysis using behavioural factors
by Mahfuzur Rahman