Works matching DE "ATTITUDES of capitalists %26 financiers"
Results: 253
Behavioral Factors Affecting the Home Bias Phenomenon: Experimental Tests.
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- Journal of Behavioral Finance, 2016, v. 17, n. 3, p. 267, doi. 10.1080/15427560.2016.1203324
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Reputational Herding in Financial Markets: A Laboratory Experiment.
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- Journal of Behavioral Finance, 2016, v. 17, n. 3, p. 244, doi. 10.1080/15427560.2016.1203322
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What Is Common Among Return Anomalies? Evidence from Insider Trading.
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- Journal of Behavioral Finance, 2016, v. 17, n. 3, p. 229, doi. 10.1080/15427560.2016.1170683
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The Effect of Style, Feedback, and Context on Portfolio Exploratory Behavior.
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- Journal of Behavioral Finance, 2016, v. 17, n. 3, p. 217, doi. 10.1080/15427560.2016.1170681
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Value of Analysts’ Consensus Recommendations and Investor Sentiment.
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- Journal of Behavioral Finance, 2013, v. 14, n. 3, p. 213, doi. 10.1080/15427560.2013.819805
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The Impact and Source of Mental Frames in Socially Responsible Investing.
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- Journal of Behavioral Finance, 2012, v. 13, n. 3, p. 184, doi. 10.1080/15427560.2012.707716
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Impact of Heterogeneous Confidences on Investment Style.
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- Journal of Behavioral Finance, 2012, v. 13, n. 3, p. 174, doi. 10.1080/15427560.2012.681330
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Change at the Top: Internal Communication Is Key to Bringing Employees on Board.
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- Public Relations Tactics, 2017, v. 24, n. 6, p. 5
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Network theory and behavioral finance in a heterogeneous market environment.
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- Complexity, 2016, v. 21, p. 530, doi. 10.1002/cplx.21834
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Combining standard and behavioral portfolio theories: a practical and intuitive approach.
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- Quantitative Finance, 2018, v. 18, n. 5, p. 707, doi. 10.1080/14697688.2017.1401225
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How news affects the trading behaviour of different categories of investors in a financial market.
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- Quantitative Finance, 2015, v. 15, n. 2, p. 213, doi. 10.1080/14697688.2014.931593
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Selection of balanced portfolios to track the main properties of a large market.
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- Quantitative Finance, 2015, v. 15, n. 2, p. 359, doi. 10.1080/14697688.2013.859389
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Investors Perception about Different Corporate Actions.
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- Anvesha, 2015, v. 8, n. 2, p. 1
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EDITORIAL.
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- Anvesha, 2015, v. 8, n. 2, p. 1
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Investors' Irrationality: Insights from Behavioral Finance.
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- Wealth: International Journal of Money, Banking & Finance, 2016, v. 5, n. 1, p. 10
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Modelling the Relationship Between Emotions and Personality of Investors Using the Heuristics as a Mediator.
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- Wealth: International Journal of Money, Banking & Finance, 2016, v. 5, n. 1, p. 28
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Do Non-socially Responsible Companies Achieve Legitimacy Through Socially Responsible Actions? The Mediating Effect of Innovation.
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- Journal of Business Ethics, 2013, v. 117, n. 1, p. 67, doi. 10.1007/s10551-012-1503-3
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From Preaching to Investing: Attitudes of Religious Organisations Towards Responsible Investment.
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- Journal of Business Ethics, 2012, v. 110, n. 3, p. 301, doi. 10.1007/s10551-011-1155-8
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Finansal Kriz Dönemlerinde Yatırımcı Tercihlerinin Etkenleri: 2001 Krizi Üzerine Bir Araştırma.
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- Journal of Business Research-Turk / Isletme Arastirmalari Dergisi, 2013, v. 5, n. 2, p. 141
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Neglected Risks: The Psychology of Financial Crises<sup>†</sup>.
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- American Economic Review, 2015, v. 105, n. 5, p. 310, doi. 10.1257/aer.p20151091
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FOMC Forward Guidance and Investor Beliefs<sup>†</sup>.
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- American Economic Review, 2015, v. 105, n. 5, p. 656, doi. 10.1257/aer.p20151123
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Economic Growth with Bubbles.
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- American Economic Review, 2012, v. 102, n. 6, p. 3033, doi. 10.1257/aer.102.6.3033
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Dynamic relationship between stock market trading volumes and investor fear gauges movements.
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- Applied Economics, 2019, v. 51, n. 38, p. 4218, doi. 10.1080/00036846.2019.1588954
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The effects of haze pollution on stock performances: evidence from China.
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- Applied Economics, 2017, v. 49, n. 23, p. 2226, doi. 10.1080/00036846.2016.1234703
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Skewness preferences, asset prices and investor sentiment.
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- Applied Economics, 2017, v. 49, n. 8, p. 812, doi. 10.1080/00036846.2016.1205727
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A nonlinear Granger causality test between stock returns and investor sentiment for Chinese stock market: a wavelet-based approach.
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- Applied Economics, 2016, v. 48, n. 21, p. 1915, doi. 10.1080/00036846.2015.1109048
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ENDING THE MENDING WALL: HERDING, MEDIA COVERAGE, AND COLOCATION IN IT ENTREPRENEURSHIP.
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- MIS Quarterly, 2017, v. 41, n. 3, p. 989
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STRIKE A HAPPY MEDIUM: THE EFFECT OF IT KNOWLEDGE ON VENTURE CAPITALISTS' OVERCONFIDENCE IN IT INVESTMENTS.
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- MIS Quarterly, 2015, v. 39, n. 4, p. 887
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DIFFERENTIAL INFLUENCE OF BLOGS ACROSS DIFFERENT STAGES OF DECISION MAKING: THE CASE OF VENTURE CAPITALISTS.
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- MIS Quarterly, 2013, v. 37, n. 4, p. 1033
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Caveat Emptor: A Disciplined Approach to Buying at Auction.
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- Journal of Wealth Management, 2015, v. 18, n. 3, p. 121, doi. 10.3905/jwm.2015.18.3.121
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The Performance of Bond Funds Selected Concerning Individual Investors' Behaviors.
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- Journal of Wealth Management, 2014, v. 17, n. 2, p. 35, doi. 10.3905/jwm.2014.17.2.035
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Kicking the Habit: How Experience Determines Financial Risk Preferences.
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- Journal of Wealth Management, 2012, v. 15, n. 2, p. 10, doi. 10.3905/jwm.2012.15.2.010
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Badanie nadmiernej pewności siebie oraz preferencji ryzyka wśród profesjonalnych i nieprofesjonalnych uczestników rynku wraz z próbą wskazania powiązań badanych fenomenów.
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- Polish Journal of Economic Psychology / Psychologia Ekonomiczna, 2013, n. 4, p. 22
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Investor Behaviour and The Persistence of Poorly Performing Mutual Funds: Evidence from India.
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- International Journal of Financial Management, 2014, v. 4, n. 3, p. 43
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Crowd Equity Investors: An Underutilized Asset for Open Innovation in Startups.
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- California Management Review, 2018, v. 60, n. 2, p. 43, doi. 10.1177/0008125617738260
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Dark Market Share around Earnings Announcements and Speed of Resolution of Investor Disagreement.
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- Accounting Review, 2022, v. 97, n. 5, p. 1, doi. 10.2308/TAR-2019-0397
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Strategic Timing of IPOs and Disclosure: A Dynamic Model of Multiple Firms.
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- Accounting Review, 2021, v. 96, n. 3, p. 27, doi. 10.2308/TAR-2018-0537
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Investor Sentiment for Corporate Social Performance.
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- Accounting Review, 2019, v. 94, n. 4, p. 401, doi. 10.2308/accr-52303
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Earnings Management and Earnings Quality: Theory and Evidence.
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- Accounting Review, 2019, v. 94, n. 4, p. 77, doi. 10.2308/accr-52282
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The Value Relevance of Managers' and Auditors' Disclosures About Material Measurement Uncertainty.
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- Accounting Review, 2019, v. 94, n. 4, p. 215, doi. 10.2308/accr-52272
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The Effect of Reputation Shocks to Rating Agencies on Corporate Disclosures.
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- Accounting Review, 2019, v. 94, n. 1, p. 299, doi. 10.2308/accr-52114
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Disclaiming the Future: Investigating the Impact of Cautionary Disclaimers on Investor Judgments Before and After Experiencing Economic Loss.
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- Accounting Review, 2018, v. 93, n. 4, p. 81, doi. 10.2308/accr-51924
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The Effect of Analyst Forecasts during Earnings Announcements on Investor Responses to Reported Earnings.
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- Accounting Review, 2017, v. 92, n. 3, p. 239, doi. 10.2308/accr-51556
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Do Investors Perceive Low Risk When Earnings are Smooth Relative to the Volatility of Operating Cash Flows? Discerning Opportunity and Incentive to Report Smooth Earnings.
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- Accounting Review, 2017, v. 92, n. 3, p. 137, doi. 10.2308/accr-51568
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Investor Demand for Sell-Side Research.
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- Accounting Review, 2017, v. 92, n. 2, p. 123, doi. 10.2308/accr-51525
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Numerical Formats within Risk Disclosures and the Moderating Effect of Investors' Concerns about Management Discretion.
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- Accounting Review, 2015, v. 90, n. 3, p. 1149, doi. 10.2308/accr-50916
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Does Income Statement Placement Matter to Investors? The Case of Gains/Losses from Early Debt Extinguishment.
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- Accounting Review, 2014, v. 89, n. 6, p. 2021, doi. 10.2308/accr-50839
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Mental Accounting and Disaggregation Based on the Sign and Relative Magnitude of Income Statement Items.
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- Accounting Review, 2014, v. 89, n. 6, p. 2087, doi. 10.2308/accr-50838
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Meeting Individual Analyst Expectations.
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- Accounting Review, 2014, v. 89, n. 6, p. 2203, doi. 10.2308/accr-50828
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Are Seemingly Self-Serving Attributions in Earnings Press Releases Plausible? Empirical Evidence.
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- Accounting Review, 2014, v. 89, n. 2, p. 635, doi. 10.2308/accr-50628
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