Behavioural Finance: A Review and Synthesis (2007)
by
Avanidhar Subrahmanyam
| Venue: | EUROPEAN FINANCIAL MANAGEMENT |
| Citations: | 2 - 0 self |
BibTeX
@MISC{Subrahmanyam07behaviouralfinance:,
author = {Avanidhar Subrahmanyam},
title = {Behavioural Finance: A Review and Synthesis},
year = {2007}
}
OpenURL
Abstract
I provide a synthesis of the Behavioural finance literature over the past two decades. I review the literature in three parts, namely, (i) empirical and theoretical analyses of patterns in the cross-section of average stock returns, (ii) studies on trading activity, and (iii) research in corporate finance. Behavioural finance is an exciting new field because it presents a number of normative implications for both individual investors and CEOs. The papers reviewed here allow us to learn more about these specific implications.







