The impact of heuristic and herding biases on portfolio construction and performance: the case of Greece

N Gavrilakis, C Floros - Review of Behavioral Finance, 2022 - emerald.com
Purpose The purpose of this paper is to identify whether heuristic and herding biases
influence portfolio construction and performance in Greece. The current research …

[PDF][PDF] Overconfidence bias among retail investors: A systematic review and future research directions

D Singh, G Malik, A Jha - Investment Management and …, 2024 - businessperspectives.org
This paper comprehensively evaluates the literature on retail investor overconfidence using
a framework-based systematic approach to understand the various dimensions of …

Who moves the stock market in an emerging country–Institutional or retail investors?

DP Koesrindartoto, A Aaron, I Yusgiantoro… - … in International Business …, 2020 - Elsevier
By analyzing the dynamic behavior of institutional and retail investors in the Indonesia Stock
Exchange using their completed transactions (comprising over 250 million observations) …

Customer acceptability towards AI-enabled digital banking: a PLS-SEM approach

SS Bharti, K Prasad, S Sudha, V Kumari - Journal of Financial Services …, 2023 - Springer
Artificial Intelligence (AI) has proved its significance in every field and is yet to be explored in
the banking sector in India. The study aims to understand the customers' perception of using …

A systematic review and research agenda on the causes and consequences of financial overconfidence

D Singh, G Malik, P Jain, M Abouraia - Cogent Economics & …, 2024 - Taylor & Francis
The literature on overconfidence has witnessed prolific growth since the beginning of the
century. This context underscores the necessity to comprehend and categorize an …

Reconciling self-assessed with psychometric risk tolerance: A new framework for profiling risk among investors

C Mazzoli, F Palmucci - Journal of Behavioral Finance, 2023 - Taylor & Francis
Financial advisors need to assess their clients' risk profile to properly manage their portfolio
risk and comply with regulatory provisions. Assessing an investor's financial risk tolerance …

[图书][B] Perilaku Investor Agresif di Indonesia: Teori dan Bukti Empiris

M Rizal, MSA Majid, S Musnadi, A Sakir - 2024 - books.google.com
Buku “Perilaku Investor Agresif di Indonesia: Teori dan Bukti Empiris” mengupas secara
mendalam keputusan pengajuan pesanan oleh investor saham, membahas strategi market …

Preference based portfolio for private investors: Discrete choice analysis approach

M Kuzmanovic, D Makajic-Nikolic, N Nikolic - Mathematics, 2019 - mdpi.com
Behavioral finance literature shows that in addition to Markowitz's rate of return and risk,
private investors consider various other stock features. This paper discusses the problem of …

Overconfidence mediates how perception of past portfolio returns affects investment behaviors

MTI Khan, SH Tan, LL Chong - Journal of Asia-Pacific Business, 2019 - Taylor & Francis
Investors' perception of past portfolio returns predicts their investment behavior, but does this
relationship mediate by overconfidence? Taking into account different aspects of …

Does family affect financial outcomes and psychological biases? Evidence from small investors in Bangladesh

MTI Khan, SH Tan - Journal of Family Business Management, 2020 - emerald.com
Purpose The purpose this paper is to investigate whether family affects financial outcomes
and psychological biases in an under-researched context, Bangladeshi small investors …