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Handbook of Investors' Behavior during Financial Crises cover

Handbook of Investors' Behavior during Financial Crises

by Fotini Economou, Konstantinos Gavriilidis, Greg N. Gregoriou

1st Edition

Publisher: Academic Press

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Investments & Securities

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Book Details

Print ISBN9780128112526
eText ISBN9780128112533
PublisherAcademic Press
Publishing Year2017
Edition1st Edition
LanguageEnglish
Pages514

The Handbook of Investors' Behavior during Financial Crises, 1st Edition, provides fundamental information on how market participants act during periods of severe market turbulence. It addresses decision-making during major historical disruptions, including the 2000 dot-com crash and the 2008 global financial crisis.

Contributing authors apply shared behavioral finance tools to analyze activities across diverse asset classes and market structures. The volume examines both retail and institutional investor behavior while exploring how regional differences in market design shape financial outcomes.

This handbook serves upper-division undergraduates, graduate students, and professionals in behavioral finance, financial economics, financial markets, and regional economics.

Table of Contents

  1. Chapter 1: Debt Markets, Financial Crises and Public Finance in the Eurozone: Action, Structure and Experience in Greece

  2. Chapter 2: Investor Behavior Before, and After the Financial Crisis: From a Muted Response to an Increased Risk Appetite

  3. Chapter 3: Optimal Bubble Exit Strategies

  4. Chapter 4: Solving the Viner-Hayek Controversy - Financial Crises and the Conflicting Worlds of Deductive and İnductive Game Theory

  5. Chapter 5: Governing Financial Orders Which Have Been Grown and Not Made: The Origins of the Financial Crisis in Financial Gridlock

  6. Chapter 6: Overconfidence in Finance: Overview and Trends

  7. Chapter 7: Rational Agents and Irrational Bubbles

  8. Chapter 8: The Similarities Between the Bulgarian Local Financial Crisis in 1997 and the Global Financial Crisis in 2008

  9. Chapter 9: Herding, Volatility and Market Stress in the Spanish Stock Market

  10. Chapter 10: Did Security Analysts Overreact during the Global Financial Crisis? New Insights

  11. Chapter 11: The Determinants of U.S. Bank Failures During 2008-2010

  12. Chapter 12: Financial Crises and Herd Behavior: Evidence from Borsa Istanbul

  13. Chapter 13: Doctor Jekyll and Mr. Hide: Stress Testing of the Investor Behavior

  14. Chapter 14: Market Sentiment and Contagion in Euro-Area Bond Markets

  15. Chapter 15: Regime Switching on the Relationship Between Stock Returns and Currency Values: Evidence From the 1997 Asian Crisis

  16. Chapter 16: Relationship Between illiquidity and Monetary Conditions in the United Kingdom

  17. Chapter 17: Herding in the Athens Stock Exchange During Different Crisis Periods

  18. Chapter 18: Beta herding in emerging stock markets

  19. Chapter 19: Exchange-Traded Funds: Do They Promote or Depress Noise Trading?

  20. Chapter 20: The Behavior of Online Individual Investors before and after the 2007 Financial Crisis: Lessons from the French Case

  21. Chapter 21: Simple Tactical Asset Allocation Strategies on the S&P 500 and the Impact of VIX Fluctuations

  22. Chapter 22: Horizontal and Natural Visibility Graph Analysis of S&P 500 Index time series

  23. Chapter 23: Illiquidity as an Investment Style During the Financial Crisis in the United Kingdom

  24. Chapter 24: On The Pricing of Commonality Across Various Liquidity Proxies in the London Stock Exchange and The Crisis

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