語系:
繁體中文
English
說明(常見問題)
登入
回首頁
切換:
標籤
|
MARC模式
|
ISBD
Handbook of investors' behavior duri...
~
Economou, Fotini,
Handbook of investors' behavior during financial crises /
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
正題名/作者:
Handbook of investors' behavior during financial crises // edited by Fotini Economou, Konstantinos Gavriilidis, Greg N. Gregoriou, Vasileios Kallinterakis.
其他作者:
Economou, Fotini,
面頁冊數:
1 online resource (xxix, 481 pages)
標題:
Investments - Handbooks, manuals, etc. - Psychological aspects -
電子資源:
https://www.sciencedirect.com/science/book/9780128112526
ISBN:
9780128112533
Handbook of investors' behavior during financial crises /
Handbook of investors' behavior during financial crises /
edited by Fotini Economou, Konstantinos Gavriilidis, Greg N. Gregoriou, Vasileios Kallinterakis. - 1 online resource (xxix, 481 pages)
Includes bibliographical references and index.
1. Debt Markets, Financial Crises, and Public Finance in the Eurozone: Action, Structure, and Experience in Greece -- 2. Investor Behavior Before and After the Financial Crisis: Accounting Standards and Risk Appetite in Fixed Income Investing -- 3. Optimal Bubble Exit Strategies -- 4. Why History Matters to Financial Economists: The Case of Black Monday 1987 -- 5. Governing Financial Orders Which Have Been Grown and Not Made: The Origins of the Financial Crisis in Financial Gridlock -- 6. Overconfidence in Finance: Overview and Trends -- 7. Rational Agents and Irrational Bubbles -- 8. The Similarities Between the Bulgarian Local Financial Crisis in 1997 and the Global Financial Crisis in 2008 -- 9. Herding, Volatility and Market Stress in the Spanish Stock Market -- 10. Did Security Analysts Overreact during the Global Financial Crisis? Canadian evidence -- 11. Bank Failures and management inefficiency during the Global Financial Crisis -- 12. Financial Crises and Herd Behavior: Evidence from the Borsa Istanbul -- 13. Doctor Jekyll and Mr. Hyde: Stress Testing of the Investor Behavior -- 14. Market Sentiment and Contagion in Euro-Area Bond Markets -- 15. Regime Switching on the Relationship Between Stock Returns and Currency Values: Evidence From the 1997 Asian Crisis -- 16. Illiquidity, Monetary Conditions, and the Financial Crisis in the United Kingdom -- 17. Herding in the Athens Stock Exchange During Different Crisis Periods -- 18. Liquidity and Beta herding in emerging equity markets -- 19. Exchange-Traded Funds: Do They Promote or Depress Noise Trading? -- 20. The Behavior of individual Online Individual Investors before and after the 2007 Financial Crisis: Lessons from the French Case -- 21. Simple Tactical Asset Allocation Strategies on the S & P 500 and the Impact of VIX Fluctuations -- 22. Investors' behavior on S & P 500 index during periods of market crashes: a Visibility Graph approach-- 23. Illiquidity as an Investment Style During the Financial Crisis in the United Kingdom -- 24. On The Pricing of Commonality Across Various Liquidity Proxies in the London Stock Exchange and The Crisis.
"The Handbook of Investors' Behavior during Financial Crises provides fundamental information about investor behavior during turbulent periods, such the 2000 dot com crash and the 2008 global financial crisis. Contributors share the same behavioral finance tools and techniques while analyzing behaviors across a variety of market structures and asset classes. The volume provides novel insights about the influence and effects of regional differences in market design. Its distinctive approach to studies of financial crises is of key importance in our contemporary financial landscape, even more so since the accelerated process of globalization has rendered the outbreak of financial crises internationally more commonplace compared to previous decades. Encompasses empirical, quantitative and regulation-motivated studies Includes information about retail and institutional investor behavior ; Analyzes optimal financial structures for the development and growth of specific regional economies"--Provided by publisher.
ISBN: 9780128112533Subjects--Topical Terms:
1295058
Investments
--Psychological aspects--Handbooks, manuals, etc.Index Terms--Genre/Form:
554714
Electronic books.
LC Class. No.: HG4515.15 / .H355 2017
Dewey Class. No.: 332.6019
Handbook of investors' behavior during financial crises /
LDR
:04496nam a2200313 i 4500
001
1001608
006
m o d
007
cr cnu|unuuu||
008
201229t20172017enk obf 001 0 eng d
020
$a
9780128112533
$q
(electronic bk.)
020
$a
0128112530
$q
(electronic bk.)
020
$a
9780128112526
$q
(paperback)
020
$a
0128112522
$q
(paperback)
035
$a
(OCoLC)992436692
$z
(OCoLC)992731332
$z
(OCoLC)1066634106
035
$a
els19100008
040
$a
N$T
$b
eng
$e
rda
$e
pn
$c
N$T
$d
UIU
$d
EBLCP
$d
N$T
$d
OPELS
$d
YDX
$d
IDEBK
$d
MERER
$d
OCLCQ
$d
UPM
$d
WAU
$d
OCLCQ
$d
TEU
$d
CDN
$d
NAM
$d
SNK
$d
NJR
$d
U3W
$d
OCLCA
$d
OCLCF
$d
BRX
$d
CEF
$d
OCLCQ
$d
WYU
$d
OCLCO
$d
TKN
$d
AU@
$d
OCLCO
$d
OL$
$d
OCL
041
0
$a
eng
050
4
$a
HG4515.15
$b
.H355 2017
082
0 4
$a
332.6019
$2
23
245
0 0
$a
Handbook of investors' behavior during financial crises /
$c
edited by Fotini Economou, Konstantinos Gavriilidis, Greg N. Gregoriou, Vasileios Kallinterakis.
264
1
$a
London, United Kingdom :
$b
Academic Press is an imprint of Elsevier,
$c
[2017]
264
4
$c
©2017
300
$a
1 online resource (xxix, 481 pages)
336
$a
text
$b
txt
$2
rdacontent
337
$a
computer
$b
c
$2
rdamedia
338
$a
online resource
$b
cr
$2
rdacarrier
504
$a
Includes bibliographical references and index.
505
0
$a
1. Debt Markets, Financial Crises, and Public Finance in the Eurozone: Action, Structure, and Experience in Greece -- 2. Investor Behavior Before and After the Financial Crisis: Accounting Standards and Risk Appetite in Fixed Income Investing -- 3. Optimal Bubble Exit Strategies -- 4. Why History Matters to Financial Economists: The Case of Black Monday 1987 -- 5. Governing Financial Orders Which Have Been Grown and Not Made: The Origins of the Financial Crisis in Financial Gridlock -- 6. Overconfidence in Finance: Overview and Trends -- 7. Rational Agents and Irrational Bubbles -- 8. The Similarities Between the Bulgarian Local Financial Crisis in 1997 and the Global Financial Crisis in 2008 -- 9. Herding, Volatility and Market Stress in the Spanish Stock Market -- 10. Did Security Analysts Overreact during the Global Financial Crisis? Canadian evidence -- 11. Bank Failures and management inefficiency during the Global Financial Crisis -- 12. Financial Crises and Herd Behavior: Evidence from the Borsa Istanbul -- 13. Doctor Jekyll and Mr. Hyde: Stress Testing of the Investor Behavior -- 14. Market Sentiment and Contagion in Euro-Area Bond Markets -- 15. Regime Switching on the Relationship Between Stock Returns and Currency Values: Evidence From the 1997 Asian Crisis -- 16. Illiquidity, Monetary Conditions, and the Financial Crisis in the United Kingdom -- 17. Herding in the Athens Stock Exchange During Different Crisis Periods -- 18. Liquidity and Beta herding in emerging equity markets -- 19. Exchange-Traded Funds: Do They Promote or Depress Noise Trading? -- 20. The Behavior of individual Online Individual Investors before and after the 2007 Financial Crisis: Lessons from the French Case -- 21. Simple Tactical Asset Allocation Strategies on the S & P 500 and the Impact of VIX Fluctuations -- 22. Investors' behavior on S & P 500 index during periods of market crashes: a Visibility Graph approach-- 23. Illiquidity as an Investment Style During the Financial Crisis in the United Kingdom -- 24. On The Pricing of Commonality Across Various Liquidity Proxies in the London Stock Exchange and The Crisis.
520
$a
"The Handbook of Investors' Behavior during Financial Crises provides fundamental information about investor behavior during turbulent periods, such the 2000 dot com crash and the 2008 global financial crisis. Contributors share the same behavioral finance tools and techniques while analyzing behaviors across a variety of market structures and asset classes. The volume provides novel insights about the influence and effects of regional differences in market design. Its distinctive approach to studies of financial crises is of key importance in our contemporary financial landscape, even more so since the accelerated process of globalization has rendered the outbreak of financial crises internationally more commonplace compared to previous decades. Encompasses empirical, quantitative and regulation-motivated studies Includes information about retail and institutional investor behavior ; Analyzes optimal financial structures for the development and growth of specific regional economies"--Provided by publisher.
650
0
$a
Investments
$x
Psychological aspects
$v
Handbooks, manuals, etc.
$3
1295058
650
0
$a
Investment analysis
$x
Psychological aspects
$v
Handbooks, manuals, etc.
$3
1295059
650
0
$a
Financial crises.
$3
561050
655
4
$a
Electronic books.
$2
local
$3
554714
700
1
$a
Economou, Fotini,
$e
editor.
$3
1295055
700
1
$a
Gavriilidis, Konstantinos,
$e
editor.
$3
1295056
700
1
$a
Gregoriou, Greg N.,
$d
1956-
$3
564731
700
1
$a
Kallinterakis, Vasileios,
$e
editor.
$3
1295057
856
4 0
$u
https://www.sciencedirect.com/science/book/9780128112526
筆 0 讀者評論
多媒體
評論
新增評論
分享你的心得
Export
取書館別
處理中
...
變更密碼[密碼必須為2種組合(英文和數字)及長度為10碼以上]
登入