Risk Attitude and Market Behavior: Evidence from Experimental Asset Markets
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- Type
- article
- Published
- 2007-06-01
- Cited by
- 275
- References
- 61
- Access
- Open access
- OpenAlex
- https://openalex.org/W1555891934
- Semantic Scholar
- https://api.semanticscholar.org/CorpusID:18285391
Keywords
Financial economics, Asset (computer security), Economics, Capital asset pricing model, Financial market
References
- Comments on the Risk and Time Preferences in Economics
- Framing effects on asset markets: An experimental analysis
- Ambiguity and Gender Differences in Financial Decision Making: An Experimental Examination of Competence and Confidence Effects
- z-Tree - Zurich toolbox for readymade economic experiments: experimenter's manual
- Simultaneous Over- and Underconfidence: Evidence from Experimental Asset Markets
- Local Polynomial Whittle Estimation of Long-range Dependence
- An experiment on risk taking and evaluation periods
- Economic Theory of Choice and the Preference Reversal Phenomenon: A Reexamination
- Utility measurement: Signal, noise, and bias
- Myopic Loss Aversion and the Equity Premium Puzzle
- Efficiency of the Market for Racetrack Betting
- Risk Aversion and Incentive Effects
- Personality and domain‐specific risk taking
- Evaluation Periods and Asset Prices in a Market Experiment
- Individual Investor Risk Aversion and Investment Portfolio Composition
- Financial Decision-Making: Are Women Really More Risk-Averse?
- Translation of Gambles and Aspiration Level Effects in Risky Choice Behavior
- Hindsight Bias and Individual Risk Attitude within the Context of Experimental Asset Markets
- Myopic Loss Aversion: Information Feedback vs. Investment Flexibility
- Gender differences in risk taking: A meta-analysis.
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- ESSAYS ON ASSET MARKETS ANDSELF-ASSESSED HEALTH STATUS
- Flexible and redundant supply chain practices to build strategic supply chain resilience : contingent and resource-based perspectives
- DETERMINANTS OF RISK TOLERANCE ON FINANCIAL ASSET OWNERSHIP: A CASE OF MALAYSIA
- Choice in politics: Equivalency framing in economic policy decisions and the influence of expertise
- Essays on communication and behaviour under risk and ambiguity
- Do social ties between individual auditors and client CEOs/CFOs matter to audit quality?*
- Determinants of risk taking behavior : the role of risk attitudes, risk perceptions and beliefs
- Sunk cost accounting and entrapment in corporate acquisitions and financial markets : an experimental analysis
- Emotional State and Market Behavior
- Fight or freeze? Individual differences in investors' motivational systems and trading in experimental asset markets
- Driving Forces of Investment Decisions in Mutual Funds
- Risk response strategies in the supply chain: Examining attributes of stakeholders and risk attitude
- Social Security Reform Opinions: A Response to Risky Markets
- Hétérogénéité des croyances et équilibre des marchés financiers
- Is gender a good predictor of fi nancial risk taking? Evidence from national surveys of household fi nance
- Simultaneous Over- and Underconfidence: Evidence from Experimental Asset Markets
- The 2008 Crisis from the Neurofinance Perspective: Investor Humor and Market Sentiment
- The Influence of Expectations, Risk Attitudes, and Behavioral Biases on Investment Decisions
- Variety is the Spice of Life - and Boardrooms
- Natural Hazards And Risk Aversion: Experimental Evidence From Latin America
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