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 …

Fuzzy cognitive maps in systems risk analysis: a comprehensive review

E Bakhtavar, M Valipour, S Yousefi, R Sadiq… - Complex & Intelligent …, 2021 - Springer
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 …

Financial capability as a function of financial literacy, financial advice, and financial satisfaction

KA Khan, G Çera, SR Pinto Alves - E & M Ekonomie a …, 2022 - publikace.k.utb.cz
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 …

Improving loan repayment in Ghana: Does financial literacy matter?

ST Baidoo, H Yusif, EK Ayesu - Cogent Economics & Finance, 2020 - Taylor & Francis
Loan defaults continue to be a major challenge that confronts financial institutions in
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

M Anwar, SZ Khan, AU Rehman - Journal of Finance and …, 2017 - researchgate.net
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 …

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 …

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 …

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 …

[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 …

[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 …