Handbook of Investors Behavior during Financial Crises

The Handbook of Investors' Behavior during Financial Crises provides fundamental information about investor behavior during turbulent periods, such the 2000 dot com crash and the 2008 global financial crisis. Contributors share the same behavioral finance tools and techniques while analyzing behaviors across a variety of market structures and asset classes. The volume provides novel insights about the influence and effects of regional differences in market design. Its distinctive approach to studies of financial crises is of key importance in our contemporary financial landscape, even more so since the accelerated process of globalization has rendered the outbreak of financial crises internationally more commonplace compared to previous decades. Encompasses empirical, quantitative and regulation-motivated studies Includes information about retail and institutional investor behavior Analyzes optimal financial structures for the development and growth of specific regional economies

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  • Author : Fotini Economou
  • Publisher : Academic Press
  • Pages : 514 pages
  • ISBN : 0128112530
  • Rating : 4/5 from 21 reviews
CLICK HERE TO GET THIS BOOKHandbook of Investors Behavior during Financial Crises

Handbook of Investors' Behavior during Financial Crises

Handbook of Investors' Behavior during Financial Crises
  • Author : Fotini Economou,Konstantinos Gavriilidis,Greg N. Gregoriou,Vasileios Kallinterakis
  • Publisher : Academic Press
  • Release : 24 June 2017
GET THIS BOOKHandbook of Investors' Behavior during Financial Crises

The Handbook of Investors' Behavior during Financial Crises provides fundamental information about investor behavior during turbulent periods, such the 2000 dot com crash and the 2008 global financial crisis. Contributors share the same behavioral finance tools and techniques while analyzing behaviors across a variety of market structures and asset classes. The volume provides novel insights about the influence and effects of regional differences in market design. Its distinctive approach to studies of financial crises is of key importance in our contemporary financial

Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry

Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry
  • Author : Copur, Zeynep
  • Publisher : IGI Global
  • Release : 31 January 2015
GET THIS BOOKHandbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry

In an ever-changing economy, market specialists strive to find new ways to evaluate the risks and potential reward of economic ventures by assessing the importance of human reaction during the economic planning process. The Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry presents an interdisciplinary, comparative, and competitive analysis of the thought processes and planning necessary for individual and corporate economic management. This publication is an essential reference source for professionals, practitioners, and

Handbook of Behavioral Finance

Handbook of Behavioral Finance
  • Author : Brian Bruce
  • Publisher : Edward Elgar Pub
  • Release : 01 July 2012
GET THIS BOOKHandbook of Behavioral Finance

'The Handbook of Behavioral Finance is a comprehensive source of cutting-edge research on recent developments in behavioral finance.' – Long Range Planning 'As suits the jointly academic and practitioner audience, the technical level is low without being facile. (The Handbook would be a suitable reference for a senior undergraduate or master's level class in behavioral finance). Most chapters present simple econometric modelling of experimental, survey or revealed preference data. . . chapters are concise, coherent and clearly written.' – Susan Thorp, Journal

Research Handbook of Finance and Sustainability

Research Handbook of Finance and Sustainability
  • Author : Sabri Boubaker,Douglas Cumming,Duc Khuong Nguyen
  • Publisher : Edward Elgar Publishing
  • Release : 09 August 2022
GET THIS BOOKResearch Handbook of Finance and Sustainability

The severe consequences of the global financial crisis 2008-2009 and numerous accounting frauds and financial scandals over the last fifteen years have let to calls for more ethical and responsible actions in all economic activities including consumption, investing, governance and regulation. Despite the fact that ethics in business and corporate social responsibility rules have been adopted in various countries, more efforts have to be devoted to motivate and empower more actors to integrate ethical behavior and rules in making business

Routledge Handbook of Financial Technology and Law

Routledge Handbook of Financial Technology and Law
  • Author : Iris H-Y Chiu,Gudula Deipenbrock
  • Publisher : Routledge
  • Release : 30 April 2021
GET THIS BOOKRoutledge Handbook of Financial Technology and Law

Financial technology is rapidly changing and shaping financial services and markets. These changes are considered making the future of finance a digital one.This Handbook analyses developments in the financial services, products and markets that are being reshaped by technologically driven changes with a view to their policy, regulatory, supervisory and other legal implications. The Handbook aims to illustrate the crucial role the law has to play in tackling the revolutionary developments in the financial sector by offering a framework

The Oxford Handbook of the Sociology of Finance

The Oxford Handbook of the Sociology of Finance
  • Author : Karin Knorr Cetina,Alex Preda
  • Publisher : OUP Oxford
  • Release : 29 November 2012
GET THIS BOOKThe Oxford Handbook of the Sociology of Finance

Recent years have seen a surge of interest in the workings of financial institutions and financial markets beyond the discipline of economics, which has been accelerated by the financial crisis of the early twenty-first century. The Oxford Handbook of the Sociology of Finance brings together twenty-nine chapters, written by scholars of international repute from Europe, North America, and Asia, to provide comprehensive coverage on a variety of topics related to the role of finance in a globalized world, and its

Manias, Panics, and Crashes

Manias, Panics, and Crashes
  • Author : Charles P. Kindleberger,Robert Aliber
  • Publisher : Wiley
  • Release : 04 October 2005
GET THIS BOOKManias, Panics, and Crashes

Manias, Panics, and Crashes, Fifth Edition is an engaging and entertaining account of the way that mismanagement of money and credit has led to financial explosions over the centuries. Covering such topics as the history and anatomy of crises, speculative manias, and the lender of last resort, this book puts the turbulence of the financial world in perspective. The updated fifth edition expands upon each chapter, and includes two new chapters focusing on significant financial crises of the last fifteen

Handbook of Frontier Markets

Handbook of Frontier Markets
  • Author : Panagiotis Andrikopoulos,Greg N. Gregoriou,Vasileios Kallinterakis
  • Publisher : Academic Press
  • Release : 05 August 2016
GET THIS BOOKHandbook of Frontier Markets

Handbook of Frontier Markets: The European and African Evidence provides novel insights from academic perspectives about the behavior of investors and prices in several frontier markets. It explores finance issues usually reserved for developed and emerging markets in order to gauge whether these issues are relevant and how they manifest themselves in frontier markets. Frontier markets have now become a popular investment class among institutional investors internationally, with major financial services providers establishing index-benchmarks for this market-category. The anticipation for

The Future of Finance

The Future of Finance
  • Author : Moorad Choudhry,Gino Landuyt
  • Publisher : John Wiley & Sons
  • Release : 02 November 2010
GET THIS BOOKThe Future of Finance

New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management industries. In The Future of Finance, Moorad Choudhry and Gino Landuyt argue that banks must realign their business models, implying a lower return-on-equity; diversifying their funding sources; and increasing liquidity reserves. On the investment side, the authors discuss how diversification did not reduce risk, but rather amplified it, and failed to stabilize returns.

The Financial Crisis Inquiry Report

The Financial Crisis Inquiry Report
  • Author : Financial Crisis Inquiry Commission
  • Publisher : Cosimo, Inc.
  • Release : 01 May 2011
GET THIS BOOKThe Financial Crisis Inquiry Report

The Financial Crisis Inquiry Report, published by the U.S. Government and the Financial Crisis Inquiry Commission in early 2011, is the official government report on the United States financial collapse and the review of major financial institutions that bankrupted and failed, or would have without help from the government. The commission and the report were implemented after Congress passed an act in 2009 to review and prevent fraudulent activity. The report details, among other things, the periods before, during, and after

Financial Risk Management and Modeling

Financial Risk Management and Modeling
  • Author : Constantin Zopounidis,Ramzi Benkraiem,Iordanis Kalaitzoglou
  • Publisher : Springer Nature
  • Release : 13 September 2021
GET THIS BOOKFinancial Risk Management and Modeling

Risk is the main source of uncertainty for investors, debtholders, corporate managers and other stakeholders. For all these actors, it is vital to focus on identifying and managing risk before making decisions. The success of their businesses depends on the relevance of their decisions and consequently, on their ability to manage and deal with the different types of risk. Accordingly, the main objective of this book is to promote scientific research in the different areas of risk management, aiming at

Entrepreneurship, Institutional Framework and Support Mechanisms in the EU

Entrepreneurship, Institutional Framework and Support Mechanisms in the EU
  • Author : Nikolaos Apostolopoulos,Konstantinos Chalvatzis,Panagiotis Liargovas
  • Publisher : Emerald Group Publishing
  • Release : 24 August 2021
GET THIS BOOKEntrepreneurship, Institutional Framework and Support Mechanisms in the EU

Entrepreneurship, Institutional Framework and Support Mechanisms in the EU sheds light on the important and yet crucially under-explored interactions between entrepreneurship, institutions and support mechanisms within the EU.

Behavioral Finance: The Second Generation

Behavioral Finance: The Second Generation
  • Author : Meir Statman
  • Publisher : CFA Institute Research Foundation
  • Release : 02 December 2019
GET THIS BOOKBehavioral Finance: The Second Generation

Behavioral finance presented in this book is the second-generation of behavioral finance. The first generation, starting in the early 1980s, largely accepted standard finance’s notion of people’s wants as “rational” wants—restricted to the utilitarian benefits of high returns and low risk. That first generation commonly described people as “irrational”—succumbing to cognitive and emotional errors and misled on their way to their rational wants. The second generation describes people as normal. It begins by acknowledging the full

Business Under Crisis, Volume II

Business Under Crisis, Volume II
  • Author : Demetris Vrontis,Alkis Thrassou,Yaakov Weber,S. M. Riad Shams,Evangelos Tsoukatos,Leonidas Efthymiou
  • Publisher : Springer Nature
  • Release : 30 November 2021
GET THIS BOOKBusiness Under Crisis, Volume II

Crises present significant challenges for organizations. But, while critical events are inevitable, not every business is sufficiently equipped for when things don’t go according to plan. This book focuses on business under crisis conditions, along with organizational responses and adaptation. Adaptation can be seen as a learning process. It encompasses meaningful ways that help companies sustain their viability over the long term. Companies that respond quickly, often achieve more than just surviving. Some organizations will learn from a crisis,

Financial Crises Explanations, Types, and Implications

Financial Crises Explanations, Types, and Implications
  • Author : Stijn Claessens,Mr. M. Ayhan Kose
  • Publisher : International Monetary Fund
  • Release : 30 January 2013
GET THIS BOOKFinancial Crises Explanations, Types, and Implications

This paper reviews the literature on financial crises focusing on three specific aspects. First, what are the main factors explaining financial crises? Since many theories on the sources of financial crises highlight the importance of sharp fluctuations in asset and credit markets, the paper briefly reviews theoretical and empirical studies on developments in these markets around financial crises. Second, what are the major types of financial crises? The paper focuses on the main theoretical and empirical explanations of four types