Table of contents - Special Issue: Behavioral finance
Guest Editors: Professor F. Douglas Foster and Professor Petko S. Kalev
Managerial overconfidence, government intervention and corporate financing decision
Irene Wei Kiong Ting, Hooi Hooi Lean, Qian Long Kweh, Noor Azlinna AzizanThe purpose of this paper is to investigate the impact of managerial overconfidence on corporate financing decision and the moderating effect of government ownership on the…
Liquidity, investor sentiment and price discount of SEOs in Australia
Ebenezer Asem, Jessica Chung, Xin Cui, Gloria Y TianThe purpose of this paper is to empirically test whether stock liquidity and investor sentiment have interactive effects on seasoned equity offers (SEOs) price discounts in…
The impact of Mad Money recommendations during bull and bear markets
Adam J. Roszkowski, Nivine RichieThe purpose of this paper is to examine semi-strong market efficiency by observing the behavioral finance implications of Jim Cramer’s recommendations in bull vs bear markets. The…
An application of the information-adjusted noise model to the Shenzhen stock market
Xiaoming Xu, Vikash Ramiah, Imad Moosa, Sinclair DavidsonThe purpose of this paper is to: first, test if information-adjusted noise model (IANM) can be applied in China; second, quantify noise trader risk, overreaction, underreaction…
Starting points for a new researcher in behavioral finance
Jim Yuh Huang, Joseph C.P. Shieh, Yu-Cheng KaoThe purpose of this paper is to systematically consolidate and analyze papers in behavioral finance in the past 20 years, and to provide an overall introduction to scholars and…
ISSN:
1743-9132Online date, start – end:
2005Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Dr Alfred Yawson