The moderating effect of financial knowledge on financial risk tolerance

JE Grable, A Rabbani - Journal of risk and financial management, 2023 - mdpi.com
The purpose of this paper is to describe a study that was designed to determine to what
extent subjective and objective measures of financial knowledge moderate the relationship …

Family Demographics Sway With a Role of Financial Advisor in Risk Tolerance and Investment Decision of Women Working in it Sector, Chennai

R Sivasankaran, A Selvakrishnan - … Review: Int. J. Prof. Bus. Rev …, 2023 - dialnet.unirioja.es
Purpose: The purpose of this research is to analyse the influence of spouse and family
members in addition to the crucial role of financial advisor in risk tolerance and investment …

IT2-based fuzzy hybrid decision making approach to soft computing

H Dincer, S Yuksel - IEEE Access, 2019 - ieeexplore.ieee.org
This aims to evaluate the risk appetite of the financial investors in emerging economies
using an integrated interval type-2 fuzzy model. For this purpose, eight different criteria are …

The effect of sociodemographic variables and love of money on financial risk tolerance of bankers

A Anbar, M Eker - Business and Economics Research Journal, 2019 - ceeol.com
The purpose of this study is to explore the effect of sociodemographic variables and love of
money on financial risk tolerance levels among bankers. The sociodemographic variables …

Impact of financial literacy on savings behavior: the moderation role of risk aversion and financial confidence

S Ananda, RP Kumar, T Dalwai - Journal of Financial Services Marketing, 2024 - Springer
This research examines the impact of financial literacy on the savings behavior of investors
residing in the Gulf Cooperation Council (GCC) region. It also investigates the moderating …

A model for female South African investors' financial risk tolerance

J Lawrenson… - Cogent Economics & …, 2020 - Taylor & Francis
Research relating to the influence of investor's demographic factors and personality traits on
financial risk tolerance receives increasing attention. Financial risk tolerance refers to the …

A simplified measure of investor risk aversion

J Grable, EJ Kwak, M Fulk… - Journal of …, 2022 - journals.sagepub.com
This article introduces a simplified measure of investor risk aversion. The singleitem
question combines elements from revealed preference and propensity measurement …

How does the emotional meaning associated with money and financial advisor's characteristics impact investors' risk-taking?

A Lippi, E Lozza, F Poli, C Castiglioni - Journal of Neuroscience …, 2021 - psycnet.apa.org
The original and innovative aspect of this article is to verify whether an investor's risk attitude
is influenced (not only) by his/her sociodemographic characteristics (eg, age and gender) …

The role of disappointment aversion and expectation proclivity in describing financial risk aversion among financial decision-makers

JE Grable, EJ Kwak - International Journal of Bank Marketing, 2021 - emerald.com
Purpose Using data obtained from 525 individuals who were surveyed during early spring
2020, this study addressed three aims:(1) to ascertain the degree to which disappointment …

[HTML][HTML] A Comparison of Financial Risk-Tolerance Assessment Methods in Predicting Subsequent Risk Tolerance and Future Portfolio Choices

EJ Kwak, JE Grable - Risks, 2024 - mdpi.com
This study explores the effectiveness of various methods for measuring risk tolerance, with
the aim to better understand the risk-taking attitudes and behaviors of financial decision …