Overconfidence, risk aversion and individual financial decisions in experimental asset markets
Year of publication: |
2017
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Authors: | Michailova, Julija ; Mačiulis, Alminas ; Tvaronavičienė, Manuela |
Published in: |
Economic research. - Abingdon : Routledge, Taylor & Francis Group, ISSN 1331-677X, ZDB-ID 2171828-3. - Vol. 30.2017, 1,1, p. 1119-1131
|
Subject: | Overconfidence | miscalibration | risk aversion | financial decisions | economic experiments | Risikoaversion | Risk aversion | Experiment | Anlageverhalten | Behavioural finance | Theorie | Theory | Finanzmarkt | Financial market | Verhaltensökonomik | Behavioral economics | Portfolio-Management | Portfolio selection | Vertrauen | Confidence | Entscheidung | Decision | Kognition | Cognition |
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