Behavioral Finance and Banking Papers

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TitleAuthor(s)Hint
Overconfidence and Speculative Bubblesoscillate
Returns to Buying Winners and Selling Losers: Implications for Stock Market EfficiencyMomentum
Trading is hazardous to your wealth: the common stock investment performance of individual investorsExcessive
The Gold Standard, Deflation, and Financial Crisis in the Great Depression: An International ComparisonInt'l
Short Sale Constraints and Stock ReturnsLoan list
Breadth of Ownership and Stock ReturnsSSC
Agency, Information, and Corporate Investment
Comovement
Special Purpose Vehicles and Securitization
Style InvestingCategories
Bank Runs, Deposit Insurance, and Liquidity
Are Investors Reluctant to Realize Their Losses?PGR
Stocks as Lotteries: The Implications of Probability Weighting for Security PricesNegative premium
Contrarian Investment, Extrapolation, and RiskValue
Psychology and Economics
Investor Sentiment and the Cross-section of Stock ReturnsSubjective
The Causes of Free Bank Failureswildcat
The Real Output Losses Associated with Modern Bankingoutput gap
Bad News Travels Slowly: Size, Analyst Coverage, and the Profitability of Momentum StrategiesDiffusion
Does the Stock Market Overreact?LT reversals
Naïve Diversification Strategies in Defined Contribution Savings Plans1/n
What Drives the Disposition Effect? An Analysis of a Long-standing Preference-based ExplanationNot PT
TitleAuthor(s)Hint
Zombie lending and depressed restructuring in japanzombies
Stock Prices and Differences of Opinion: Empirical Evidence that Stock Prices Reflect Optimismanalyst
This Time is Differentcrisis definition
Opacity and the Optimality of Debt for Liquidity Provisioncancer
Stock Market Driven AcquisitionsM/B
Collateral Crises
Household FinanceSubsidy
Distance, Language, and Culture Bias: The Role of Investor SophisticationFinnish
Where is the market going? Uncertain facts and novel theories
Rational Markets: Yes or No? The Affirmative Case
The equity premium puzzle: A Review
Down or Out: Assessing the Welfare Costs of Household Investment Mistakesefficient
Investor Psychology and Security Market Under- and Overreactionsoverconfidence, self attribution
Non-monetary Effects of the Financial Crisis in the Propagation of thedebt deflation, cost of credit intermediation
Agency Costs, Net Worth, and Business Fluctuations
Securitized Banking and the Run on Repo
A Unified Theory of Underreaction, Momentum Trading, and Overreaction in Asset MarketsNewswatchers
New Facts in Finance
Judgment Under Uncertainty: Heuristics and Biases
Market Timing and Capital StructureCumulative
All that Glitters: the Effect of Attention on the Buying Behavior of Individual and Institutional InvestorsBuy search
The Twin Crises: The Causes of Banking and Balance-Of-signals
TitleAuthor(s)Hint
Realization UtilityDisposition
New Evidence and Perspectives on MergersShort-term
A Catering Theory of Dividendsdividend discount
Financial Intermediaries and Liquidity Creation
When Does the Market Matter? Stock Prices and the Investment of Equity-Dependent Firms
History of Crises under the National Banking System1910
Prospect Theory: An Analysis of Decision Under Risk
Can the Market Add and Subtract? Mispricing in Tech Stock Carve-Outs6
Limited Arbitrage in Equity MarketsStub
Economic Links and Predictable ReturnsCustomers
A Model of Investor Sentimentrepresentativeness, conservatism
Myopic Loss Aversion and the Equity Premium Puzzle1yr
The New Issues PuzzleIPO-SEOs
Disappearing Dividends: Changing Firm Characteristics or Lower Propensity to Pay?Both
Hedge Funds and the Technology BubbleNot corrective
Who Makes Acquisitions? CEO Overconfidence and the Market’s ReactionOptions
Banking Panics and Business Cycles'normal' panics
The Determinants of Banking Crises in Developing and Developed Countriesmultivariate
Rational Capital Budgeting in an Irrational World
Growth Dynamics: The Myth of Economic Recoverycausality, OVB
Market Efficiency, Long-Term Returns, and Behavioral Finance
Prospect Theory and Asset Prices

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Created Jun 7, 2011ReportNominate
Tags:finance, paper