Handbook of investors' behavior during financial crises / edited by Fotini Economou...[ et al.]

Material type: TextTextPublication details: London: Academic press, 2017Description: xxxi, 481 p. PB 23 cmISBN: 9780128112526Subject(s): Investments -- Psychological aspects | Investment analysis -- Psychological aspects | Financial crises | Börse | Kapitalanleger | Investor | Anlageverhalten | FinanzkriseDDC classification: 332.6019
Contents:
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.
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Holdings
Item type Current library Call number Status Date due Barcode Item holds
General Books General Books Central Library, Sikkim University
332.6019 ECO/H (Browse shelf(Opens below)) Available 47785
Total holds: 0

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.

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