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The Resource Advances in behavioral finance, Volume II, edited by Richard H. Thaler

Advances in behavioral finance, Volume II, edited by Richard H. Thaler

Label
Advances in behavioral finance, Volume II
Title
Advances in behavioral finance
Title number
Volume II
Statement of responsibility
edited by Richard H. Thaler
Contributor
Subject
Language
eng
Summary
This book offers a definitive and wide-ranging overview of developments in behavioral finance over the past ten years. In 1993, the first volume provided the standard reference to this new approach in finance--an approach that, as editor Richard Thaler put it, "entertains the possibility that some of the agents in the economy behave less than fully rationally some of the time." Much has changed since then. Not least, the bursting of the Internet bubble and the subsequent market decline further demonstrated that financial markets often fail to behave as they would if trading were trul
Member of
Cataloging source
EBLCP
Index
no index present
Literary form
non fiction
Nature of contents
dictionaries
Series statement
Roundtable Series in Behavioral Economics
Advances in behavioral finance, Volume II, edited by Richard H. Thaler
Label
Advances in behavioral finance, Volume II, edited by Richard H. Thaler
Link
http://www.jstor.org/stable/10.2307/j.ctt1j1nwfj
Publication
Related Contributor
Related Location
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Carrier category
online resource
Carrier category code
cr
Carrier MARC source
rdacarrier
Color
not applicable
Content category
text
Content type code
txt
Content type MARC source
rdacontent
Contents
  • Cover; Title; Copyright; Contents; Preface; Acknowledgments; List of Abbreviations; Chapter 1 A Survey of Behavioral Finance; Part I: Limits to Arbitrage; Chapter 2 The Limits of Arbitrage; Chapter 3 How Are Stock Prices Affected by the Location of Trade?; Chapter 4 Can the Market Add and Subtract? Mispricing in Tech Stock Carve-outs; Part II: Stock Returns and the Equity Premium; Chapter 5 Valuation Ratios and the Long-run Stock Market Outlook: An Update; Chapter 6 Myopic Loss Aversion and the Equity Premium Puzzle; Chapter 7 Prospect Theory and Asset Prices
  • Part III: Empirical Studies of Overreaction and UnderreactionChapter 8 Contrarian Investment, Extrapolation, and Risk; Chapter 9 Evidence on the Characteristics of Cross-sectional Variation in Stock Returns; Chapter 10 Momentum; Chapter 11 Market Efficiency and Biases in Brokerage Recommendations; Part IV: Theories of Overreaction and Underreaction; Chapter 12 A Model of Investor Sentiment; Chapter 13 Investor Psychology and Security Market Under- a
http://library.link/vocab/cover_art
https://contentcafe2.btol.com/ContentCafe/Jacket.aspx?Return=1&Type=S&Value=9781400829125&userID=ebsco-test&password=ebsco-test
http://library.link/vocab/discovery_link
{'f': 'http://opac.lib.rpi.edu/record=b4335824'}
Extent
1 online resource (721 pages).
Form of item
online
Isbn
9781400829125
Media category
computer
Media MARC source
rdamedia
Media type code
c
Specific material designation
remote

Library Locations

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      110 8th St, Troy, NY, 12180, US
      42.729766 -73.682577
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