Behavioral finance factors and investment decisions: A mediating role of risk perception
BY Almansour, S Elkrghli… - Cogent Economics & …, 2023 - Taylor & Francis
Modern finance theory assumes that the stock market is efficient, and stock prices reflect all
available information. However, behavioral finance theory argues that stock prices can be …
available information. However, behavioral finance theory argues that stock prices can be …
Fuzzy cognitive maps in systems risk analysis: a comprehensive review
Fuzzy cognitive maps (FCMs) have been widely applied to analyze complex, causal-based
systems in terms of modeling, decision making, analysis, prediction, classification, etc. This …
systems in terms of modeling, decision making, analysis, prediction, classification, etc. This …
Financial capability as a function of financial literacy, financial advice, and financial satisfaction
There is no substantial evidence that exists in the literature to establish the link between
financial advice and financial capability fully establishes, even though'getting help'is …
financial advice and financial capability fully establishes, even though'getting help'is …
Improving loan repayment in Ghana: Does financial literacy matter?
Loan defaults continue to be a major challenge that confronts financial institutions in
developing countries and this impedes their potential role in sustainable development …
developing countries and this impedes their potential role in sustainable development …
[PDF][PDF] Financial literacy, behavioral biases and investor's portfolio diversification: Empirical study of an emerging stock market
The purpose of this study is to check the impact of financial literacy and behavioral biases on
investor's portfolio diversification. Data were collected through questionnaire using sample …
investor's portfolio diversification. Data were collected through questionnaire using sample …
The external auditors' policy after the COVID-19 pandemic and the accounting outlook in Tunisia
A Elaoudl, A Jarboui - Accounting and Management Information Systems, 2022 - ceeol.com
Research Question: The objective of this article is to help external auditors resume their
activities and enhance their foresight strategy. Specifically, it aims to identify variables that …
activities and enhance their foresight strategy. Specifically, it aims to identify variables that …
FİNANSAL PİYASALAR ARASI OYNAKLIK YAYILIMININ ANALİZİ: TÜRKİYE ÖRNEĞİ
İ Keskin, Aİ Çekiç - Adıyaman Üniversitesi Sosyal Bilimler Enstitüsü …, 2024 - dergipark.org.tr
Çalışmada, hisse senedi, döviz, ham petrol, değerli madenler piyasaları arasındaki oynaklık
yayılımının varlığı Türkiye örneğinde araştırılmıştır. 01 Ocak 2013-01 Ocak 2023 dönemini …
yayılımının varlığı Türkiye örneğinde araştırılmıştır. 01 Ocak 2013-01 Ocak 2023 dönemini …
Pengaruh Literasi Keuangan (Financial Literacy) terhadap Bias Konservatif (Conservatism Bias) dan Bias Pengaitan Diri (Self Attribution Bias) Investor di Yogyakarta
A Apriando - 2018 - dspace.uii.ac.id
Literasi keuangan merupakan komponen yang sangat kompleks dan penting bagi investor
agar terhindar dari bias perilaku dalam membuat keputusan investasi. Secara teori literasi …
agar terhindar dari bias perilaku dalam membuat keputusan investasi. Secara teori literasi …
[PDF][PDF] Recent Advancements in the Behavioral Portfolio Theory: A Review
PC Sinha, A Biswas - 2018 - academia.edu
The “modern” portfolio theory of the Nobel laureate Professor Harry Max Markowitz has not
been too modern now-a-days. Not simply for that investors are not risk-averse but also for …
been too modern now-a-days. Not simply for that investors are not risk-averse but also for …
[PDF][PDF] Investment intentions model of Pakistani investors
I ARSHAD - 2019 - core.ac.uk
This research aims to present a model of the investment decision-making process. In the
review of extensive literature, it has been identified that individual investors have been …
review of extensive literature, it has been identified that individual investors have been …