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  • Overconfidence and trading volume.rar

    本附件包括:
    • Overconfidence and trading volume.pdf
  • 2.77 MB
  • 2019-7-16
  • Investor Overconfidence and Trading Volume.rar

    本附件包括:
    • Investor Overconfidence and Trading Volume.pdf
  • 3.08 MB
  • 2019-7-16
  • JFE-2016-04.zip
       国外核心JFE

    本附件包括:
    • JFE-2016-04-CEO overconfidence and financial crisis_ Evidence from bank lending and leverage.pdf
    • JFE-2016-04-Analyzing volatility risk and risk premium in option contracts_ A new theory.pdf
    • JFE-2016-04-Are retail traders compensated for providing liquidity_.pdf
    • JFE-2016-04-Dual ownership, returns, and voting in mergers.pdf
    • JFE-2016-04-On secondary buyouts.pdf
    • JFE-2016-04-Redacting proprietary information at the initial public offering.pdf
    • JFE-2016-04-Spare tire_ Stock markets, banking crises, and economic recoveries.pdf
    • JFE-2016-04-The expected returns and valuations of private and public firms.pdf
    • JFE-2016-04-Using options to measure the full value-effect of an event_ Application to Obamacare.pdf
    • JFE-2016-04-Volatility risk premia and exchange rate predictability.pdf
  • 5.8 MB
  • 2016-4-9
  • JFE-2016-03.zip
       国外核心JFE

    本附件包括:
    • JFE-2016-03-Executive overconfidence and compensation structure.pdf
    • JFE-2016-03-Ambiguity aversion and household portfolio choice puzzles_ Empirical evidence.pdf
    • JFE-2016-03-Corporate governance and risk management at unprotected banks_ National banks in the 1890s.pdf
    • JFE-2016-03-Debt-equity choices, R&D investment and market timing.pdf
    • JFE-2016-03-Does Dodd-Frank affect OTC transaction costs and liquidity_ Evidence from real-time CDS trade reports.pdf
    • JFE-2016-03-Heuristic portfolio trading rules with capital gain taxes.pdf
    • JFE-2016-03-Institutional investors and stock return anomalies.pdf
    • JFE-2016-03-Nominal price illusion.pdf
    • JFE-2016-03-State variables, macroeconomic activity, and the cross section of individual stocks.pdf
    • JFE-2016-03-Systemic risk and the macroeconomy_ An empirical evaluation.pdf
    • JFE-2016-03-The cost of friendship.pdf
  • 7.47 MB
  • 2016-4-9
  • bubble.rar
       文献下载

    本附件包括:
    • 2009 An experimental test of the impact of overconfidence and gender.pdf
    • 1998 Initial cash asset ratio and asset prices an experimental study.pdf
    • 1995 Futures contracting and dividend uncertainty in experimental asset markets.pdf
    • 1991 Private information acquisition in experimental markets prone to bubble and crash.pdf
    • 1990 Positive Feedback Investment Strategies and Destabilizing Rational Speculation.pdf
    • 1988 Bubbles, Crashes, and Endogenous Expectations in Experimental Spot Asset Markets.pdf
    • 2015 Thar SHE Blows_Gender, Competition, and Bubbles in Experimental Asset Markets.pdf
    • 2014 To see is to believe Common expectations in experimental asset markets.pdf
    • 2014 The impact of different incentive schemes on asset prices.pdf
    • 2014 The Impact of Asset Repurchases and Issues in an Experimental Market.pdf
    • 2014 Relative Performance Incentives and Price Bubbles in Experimental Asset Markets.pdf
    • 2014 Irrational exuberance and neural crash warning signals during endogenous experimental market bubbles.pdf
    • 2014 How do experienced traders respond to inflows of inexperienced traders_An experimental analysis.pdf
    • 2014 Experimental evidence on varying uncertainty and skewness in laboratory double-auction markets.pdf
    • 2014 Double Bubbles in Assets Markets With Multiple Generations.pdf
    • 2014 Do option-like incentives induce overvaluation_Evidence from experimental asset markets.pdf
    • 2014 Bubbling with Excitement An Experiment.pdf
    • 2014 Asset-holdings caps and bubbles in experimental asset markets.pdf
    • 2014 Asset price bubbles a survey.pdf
    • 2014 Interest on Cash, Fundamental Value Process and Bubble Formation on Experimental Asset Markets.pdf
    • 2013 The impact of monetary policy on stock market bubbles and trading behavior Evidence from the lab.pdf
    • 2013 The Bubble Game An Experimental Study of Speculation.pdf
    • 2013 Super-exponential bubbles in lab experiments Evidence for anchoring over-optimistic expectations on price.pdf
    • 2013 Stulz, R. M., Harris, M., & Constantinides, G. M. (2013). Handbook of the Economics of Finance SET. Amsterdam North Holland..pdf
    • 2013 Reaction to Public Information in Markets How much does Ambiguity Matter.pdf
    • 2013 In the Mind of the Market Theory of Mind Biases Value Computation during Financial Bubbles.pdf
    • 2013 Fight or freeze Individual differences in investors' motivational systems and trading in experimental asset markets.pdf
    • 2013 Differentiated assets An experimental study on bubbles.pdf
    • 2013 Before and after The impact of a real bubble crash on investors' trading behavior in the lab.pdf
    • 2013 A Review of bubbles and crashes in experimental asset markets.pdf
    • 2012 Two heads are less bubbly than one team decision-making in an experimental asset market.pdf
    • 2012 Tournament incentives and asset price bubbles Evidence from a field experiment.pdf
    • 2012 The impact of instructions and procedure on reducing confusion and bubbles in experimental asset markets.pdf
    • 2012 Thar she bursts_reducing confusion reduces bubbles.pdf
    • 2012 Relative performance information in asset markets An experimental approach.pdf
    • 2012 Excitement and irrationality in a financial market.pdf
    • 2012 Bubbles and Information An Experiment.pdf
    • 2012 Asset Characteristics and Boom and Bust Periods An Experimental Study.pdf
    • 2011 Overconfidence and Bubbles in Experimental Asset Markets.pdf
    • 2011 On the ingredients for bubble formation Informed traders and communication.pdf
    • 2011 Experience and Confidence in an Internet-Based Asset Market Experiment.pdf
    • 2011 An Experimental Study of Bubble Formation in Asset Markets Using the Tatonnement Trading Institution.pdf
    • 2010 The effect of reliability, content and timing of public announcements on asset trading behavior.pdf
    • 2010 Digital options and efficiency in experimental asset markets.pdf
    • 2010 Bubble measures in experimental asset markets.pdf
    • 2008 Thar She Blows Can Bubbles Be Rekindled with Experienced Subjects.pdf
    • 2008 Expectations and bubbles in asset pricing experiments.pdf
    • 2007 Traders’ expectations in asset markets_experimental evidence.pdf
    • 2007 Risk attitude and market behavior Evidence from experimental asset markets.pdf
    • 2006 The effect of short selling on bubbles and crashes in experimental spot asset markets.pdf
    • 2006 Margin, short selling, and lotteries in experimental asset markets.pdf
    • 2006 Futures markets and bubble formation in experimental asset markets.pdf
    • 2005 bubbles and experience An experiment.pdf
    • 2003 Boundaries of the tournament pricing effect in asset markets Evidence from experimental markets.pdf
    • 2002 Simultaneous over- and underconfidence Evidence from experimental asset markets.pdf
    • 2002 Do Speculative Stocks Lower Prices and Increase Volatility of Value Stocks.pdf
    • 2001 The Effects of Subject Pool and Design Experience on Rationality in Experimental Asset Markets.pdf
    • 2001 Price bubbles in laboratory asset markets with constant fundamental values.pdf
    • 2001 Financial Bubbles_Excess Cash, Momentum, and Incomplete Information.pdf
    • 2000 Momentum and overreaction in experimental asset markets.pdf
    • 2000 Dividend timing and behavior in laboratory asset markets.pdf
    • 2000 Asset markets How they are affected by tournament incentives for individuals.pdf
  • 67.2 MB
  • 2015-5-4
  • 2014-014.pdf
       Self-Confidence, Overconfidence and Prenatal Testorone Exposure : Evidence from the Lab

  • 295.96 KB
  • 2015-1-14
  • JF-2011-October -issue5.rar
       Journal of Finance2011 (October) issue5

    本附件包括:
    • j.1540-6261.2011.01679.xIn Search of Attention.pdf
    • j.1540-6261.2011.01680.xFree Cash Flow, Issuance Costs, and Stock Prices.pdf
    • j.1540-6261.2011.01681.xA Unified Theory of Tobin’s q, Corporate.pdf
    • j.1540-6261.2011.01682.xNonbinding Voting for Shareholder Proposals.pdf
    • j.1540-6261.2011.01683.xThe Real and Financial Implications of.pdf
    • j.1540-6261.2011.01684.xConcentrating on Governance.pdf
    • j.1540-6261.2011.01685.xOverconfidence and Early-Life Experiences.pdf
    • j.1540-6261.2011.01686.xOverconfidence, Compensation Contracts,.pdf
    • j.1540-6261.2011.01687.xAre Incentive Contracts Rigged by Powerful.pdf
    • j.1540-6261.2011.01688.xMotivating Innovation.pdf
    • j.1540-6261.2011.01689.xMISCELLANEA.pdf
    • j.1540-6261.2011.01703.xFront Matter.pdf
    • j.1540-6261.2011.01704.xANNOUNCEMENTS.pdf
  • 3.09 MB
  • 2011-12-11
  • Choices, Values, and Frames.rar

    本附件包括:
    • 38. Evaluation by moments_past and future.pdf
    • 39. Endowments and contrast in judgments of well-being(in Chapter 6).pdf
    • 40. A bias in the prediction of tastes.pdf
    • 41. The effect of purchase quantity and timing on variety-seeking behavior.pdf
    • 01. Choices, Values, and Frames.pdf
    • 02. Prospect theory_an analysis of decision under risk.pdf
    • 03. Advance in prospect theory_Cumulative representation of uncertainty.pdf
    • 04. The probability weighting function.pdf
    • 05. Weighing risk and uncertainty.pdf
    • 06. A belief-based account of decision under uncertainty.pdf
    • 07. Loss aversion in riskless choice_A reference-dependent model.pdf
    • 08. Anomalies_The endowment effect, loss aversion, and status quo bias.pdf
    • 09. The endowment effect and evidence of non reversible indifference curve.pdf
    • 10. A test of the theory of reference-dependent preferences.pdf
    • 11. Diminish marginal utility of wealth cannot explain risk aversion.pdf
    • 12. Rational choice and the framing of decisions.pdf
    • 13. Framing, probability distortions, and insurance decisions.pdf
    • 14. Mental accounting matters.pdf
    • 16. Prospect theory in the wild_evidence from the field.pdf
    • 17. Myopic loss aversion and the equity premium puzzle.pdf
    • 18. Fairness as a constraint on profit seeking_entitlements in the market.pdf
    • 19. Money illusion.pdf
    • 20. Labor supply of New York City cab drivers_one day at a time.pdf
    • 21. Are investors reluctant to realize their losses.pdf
    • 22. Timid choices and bold forecasts_a cognitive perspective on risk taking.pdf
    • 23. Overconfidence and excess entry_an experimental approach.pdf
    • 24. judicial choice and disparities between measures of economic values.pdf
    • 25. Contrasting rational and psychological analyses of political choice.pdf
    • 29. Context-dependent preferences.pdf
    • 30. Ambiguity aversion and comparative ignorance.pdf
    • 31. Attribute evaluability and its implications for joint-separate evaluation reversals and beyond.pdf
    • 32. Preferences for sequences of outcomes.pdf
    • 33. Anomalies in intertemporal choice_evidence and an interpretation.pdf
    • 34. Reason-based choice.pdf
    • 36. Economists have preferences, psychologists have attitudes_an analysis of dollar responses to public issues.pdf
    • 37. Experienced utility and objective happiness a moment-based approach.pdf
  • 36.45 MB
  • 2010-1-31
  • 313345.pdf
       [美]Bruce A.Weinberg:《A Model of Overconfidence》

  • 72.09 KB
  • 2009-4-9
  • 306319.rar
       [下载]journal of finance 2008年12月 共15篇论文

    本附件包括:
    • How and When Do Firms Adjust Their Capital Structures toward Targets JF200812.pdf
    • How Does Size Affect Mutual Fund Behavior JF200812.pdf
    • In Search of Distress Risk JF200812.pdf
    • Limited Attention and the Allocation of Effort in Securities Trading JF200812.pdf
    • Mandatory Disclosure and Operational Risk Evidence from Hedge Fund Registration JF200812.pdf
    • Market Structure, Internal Capital Markets, and the Boundaries of the Firm JF200812.pdf
    • Overconfidence, CEO Selection, and Corporate Governance JF200812.pdf
    • Stock Returns and Volatility Pricing the Short-Run and Long-Run Components of Market Risk JF200812.pdf
    • The Geography of Block Acquisitions JF200812.pdf
    • The Making of an Investment Banker Stock Market Shocks, Career Choice, and Lifetime Income JF200812.pdf
    • Trusting the Stock Market JF200812.pdf
    • Average Returns, B M, and Share Issues JF200812.pdf
    • Directors' Ownership in the U.S. Mutual Fund Industry JF200812.pdf
    • Do Investors Overweight Personal Experience Evidence from IPO Subscriptions JF200812.pdf
    • Estimating the Intertemporal Risk–Return Tradeoff Using the Implied Cost of Capital JF200812.pdf
  • 2.87 MB
  • 2009-3-21
  • 260925.rar
       南开金融专英阅读材料(免费哟)

    本附件包括:
    • A3526c A unified theory of underreaction, momentum trading, and overreaction in asset markets.pdf
    • A3526f A Model of Investor Sentiment.pdf
    • A3530a Overconfidence, Arbitrage, and Equilibrium Asset Pricing.pdf
    • A3616e A Simple Model of Herd Behavior.pdf
    • A4312a Prospect Theory and Asset Prices .pdf
    • A Behavioral Model of Rational Choice.pdf
  • 7.53 MB
  • 2008-10-29
  • 167736.zip
       关于行为金融和市场有效的十余篇经典论文

    本附件包括:
    • overconfidence1.pdf
    • overconfidence2.pdf
    • overconfidence3.pdf
    • capm1.pdf
    • capm2.pdf
    • efficiency.pdf
    • inefficiency.pdf
    • Market Efficiency.pdf
    • odean.pdf
    • react.pdf
    • react1.pdf
    • react2.pdf
    • 面版数据模型的讨论.pdf
  • 7.33 MB
  • 2007-10-25
  • 73490.rar
       行为金融学经典文献

    本附件包括:
    • 行为资产定价理论综述.doc
    • A Model of Overconfidence February 2005 Bruce A. Weinberg ....pdf
    • Frank行为金融评价.pdf
    • Hirshleif投资心理和资产定价2.pdf
    • Self-Monitoring and attitude accessibilit.pdf
    • 并购心理学.pdf
    • the limitation of arbitrage.pdf
    • 投资者错误估价导致并购.pdf
    • 希勒人类行为和金融系统的效率.pdf
    • 行为金融理论综述(二).pdf
    • 行为金融理论综述(一).pdf
    • 行为金融综述1.pdf
    • 行为金融综述.pdf
  • 4.87 MB
  • 2006-11-21
  • 58154.rar
       [下载] 卖空方面文献系列7

    本附件包括:
    • Scheinkman01.pdf
    • Overconfidence, Short-Sale Constraints, and Stock Valuation.pdf
    • Overconfidence,arbitrage,and equilibrium asset pricing(11页).pdf
    • Psychology in capital markets_evidence and policy implications.pdf
    • Risk, Uncertainty, and Divergence of Opinion.pdf
  • 2.68 MB
  • 2006-7-16
  • 51104.rar
       大家都来说说,俺兼奉上硕士论文

    本附件包括:
    • A Model of Overconfidence February 2005 Bruce A. Weinberg ....pdf
  • 60.2 KB
  • 2006-5-3
  • 31133.rar
       最近完成经济学硕士毕业论文-行为经济学,手握不少文献

    本附件包括:
    • A Model of Overconfidence February 2005 Bruce A. Weinberg ....pdf
  • 60.2 KB
  • 2005-10-18
  • 18090.rar
       Overconfidence and Cross-Sectional Returns

    本附件包括:
    • test_hml.pdf
  • 158.32 KB
  • 2005-6-30
  • 18089.rar
       Overconfidence and Cross-Sectional Returns

    本附件包括:
    • Overconfidence, Arbitrage, and Equilibrium Asset Pricing.pdf
  • 202.22 KB
  • 2005-6-30
  • 3685.rar
       有关overconfidence 的几篇经典文章

  • 482.33 KB
  • 2004-11-22
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