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  • Search: subject:"Behavioral portfolio theory"
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Year of publication
Subject
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Portfolio selection 7 Portfolio-Management 7 Anlageverhalten 6 Behavioural finance 6 Behavioral Portfolio Theory 5 Behavioral portfolio theory 5 Theorie 4 Theory 4 Behavioral economics 3 Verhaltensökonomik 3 Capital income 2 Financial Literacy 2 Finanzielle Bildung 2 Individual Investors 2 Kapitaleinkommen 2 Non-economic investment goals 2 Portfolio performance 2 Socially responsible investing 2 Verbraucherfinanzen 2 Verbraucherinformation 2 Aktienmarkt 1 Asset management 1 Brand equity 1 Brand image 1 Brand management 1 Börsenkurs 1 CAPM 1 COVID-19 crisis 1 Coronavirus 1 Decision making 1 Dynamic portfolios 1 Efficient portfolios 1 Epidemic 1 Epidemie 1 Fama-French model 1 Financial crisis 1 Financial investment 1 Finanzkrise 1 Goals 1 India 1
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Online availability
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Undetermined 6 Free 3
Type of publication
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Article 11
Type of publication (narrower categories)
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Article in journal 8 Aufsatz in Zeitschrift 8 Article 1 research-article 1
Language
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English 8 German 2 Undetermined 1
Author
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Horn, Matthias 2 Ladha, Rani 2 Magron, Camille 2 Oehler, Andreas 2 Abbes, Mouna Boujelbène 1 Bourachnikova, Olga 1 Das, Sanjiv R. 1 Farhang, Maryam 1 Harzallah, Amen Aissi 1 Kamran-Disfani, Omid 1 Kievit, Henk 1 Lenssen, Gilbert 1 Merli, Maxime 1 Nair, Abhilash Sreekumar 1 Nijhof, André 1 Ostrov, Daniel 1 Parent, Antoine 1 Pfiffelmann, Marie 1 Radhakrishnan, Anand 1 Roger, Ludwig 1 Roger, Tristan 1 Sreekumar Nair, Abhilash 1 Srivastav, Deep 1 Zadeh, Arash H. 1
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Published in...
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Vierteljahrshefte zur Wirtschaftsforschung 2 Computational management science 1 Corporate Governance 1 Corporate governance : the international journal for effective board performance 1 Economic modelling 1 Finance Research Letters 1 Finance research letters 1 Journal of interdisciplinary economics 1 Kyklos : international review for social sciences 1 The journal of product & brand management 1
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Source
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ECONIS (ZBW) 8 EconStor 1 RePEc 1 Other ZBW resources 1
Showing 1 - 10 of 11
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Early evidence of "finance for normal people" in the first era of globalization
Merli, Maxime; Parent, Antoine - In: Kyklos : international review for social sciences 78 (2025) 2, pp. 718-728
Persistent link: https://www.econbiz.de/10015399748
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Was sind Schwachstellen und Alternativen finanzieller Bildung?
Oehler, Andreas; Horn, Matthias - In: Vierteljahrshefte zur Wirtschaftsforschung 90 (2021) 1, pp. 107-123
Der Beitrag analysiert sowohl Schwachstellen als auch darauf aufbauend Handlungsempfehlungen und Lösungsvorschläge im Bereich der finanziellen Bildung von privaten Haushalten. Die Analyse der Schwachstellen umfasst eine kritische Sicht auf die Methodik zur Einschätzung finanzieller Bildung,...
Persistent link: https://www.econbiz.de/10014001288
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Was sind Schwachstellen und Alternativen finanzieller Bildung?
Oehler, Andreas; Horn, Matthias - In: Vierteljahrshefte zur Wirtschaftsforschung 90 (2021) 1, pp. 107-123
Der Beitrag analysiert sowohl Schwachstellen als auch darauf aufbauend Handlungs- empfehlungen und Lösungsvorschläge im Bereich der finanziellen Bildung von privaten Haushalten. Die Analyse der Schwachstellen umfasst eine kritische Sicht auf die Methodik zur Einschätzung finanzieller Bildung,...
Persistent link: https://www.econbiz.de/10013368632
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Brand equity and stock performance in time of crisis : evidence from the COVID-19 pandemic
Farhang, Maryam; Kamran-Disfani, Omid; Zadeh, Arash H. - In: The journal of product & brand management 32 (2023) 3, pp. 420-435
Persistent link: https://www.econbiz.de/10014229059
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The impact of financial crises on the asset allocation : classical theory versus behavioral theory
Harzallah, Amen Aissi; Abbes, Mouna Boujelbène - In: Journal of interdisciplinary economics 32 (2020) 2, pp. 218-236
Persistent link: https://www.econbiz.de/10012255934
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Dynamic portfolio allocation in goals-based wealth management
Das, Sanjiv R.; Ostrov, Daniel; Radhakrishnan, Anand; … - In: Computational management science 17 (2020) 4, pp. 613-640
Persistent link: https://www.econbiz.de/10012487038
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When behavioral portfolio theory meets Markowitz theory
Pfiffelmann, Marie; Roger, Tristan; Bourachnikova, Olga - In: Economic modelling 53 (2016), pp. 419-435
Persistent link: https://www.econbiz.de/10011641080
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Determinants of non-economic investment goals among Indian investors
Sreekumar Nair, Abhilash; Ladha, Rani - In: Corporate Governance 14 (2014) 5, pp. 714-727
Purpose – The purpose of this paper is to identify underlying characteristics of Indian investors that influence them to achieve their non-economic investment goals. Design/methodology/approach – The conceptual model posits that investors’ choice of non-economic goal (NEG) is determined by...
Persistent link: https://www.econbiz.de/10014695764
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Investors’ aspirations and portfolio performance
Magron, Camille - In: Finance Research Letters 11 (2014) 2, pp. 153-160
performance. I stress the role played by latent investor aspirations as defined in the Behavioral Portfolio Theory framework. I …
Persistent link: https://www.econbiz.de/10010785420
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Determinants of non-economic investment goals among Indian investors
Nair, Abhilash Sreekumar; Ladha, Rani - In: Corporate governance : the international journal for … 14 (2014) 5, pp. 714-727
Persistent link: https://www.econbiz.de/10010473579
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