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book: Advances in Behavioral Finance, Volume II
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Advances in Behavioral Finance, Volume II

  • Edited by: Richard H. Thaler
Language: English
Published/Copyright: 2005
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About this book

This book offers a definitive and wide-ranging overview of developments in behavioral finance over the past ten years. In 1993, the first volume provided the standard reference to this new approach in finance--an approach that, as editor Richard Thaler put it, "entertains the possibility that some of the agents in the economy behave less than fully rationally some of the time." Much has changed since then. Not least, the bursting of the Internet bubble and the subsequent market decline further demonstrated that financial markets often fail to behave as they would if trading were truly dominated by the fully rational investors who populate financial theories. Behavioral finance has made an indelible mark on areas from asset pricing to individual investor behavior to corporate finance, and continues to see exciting empirical and theoretical advances.



Advances in Behavioral Finance, Volume II constitutes the essential new resource in the field. It presents twenty recent papers by leading specialists that illustrate the abiding power of behavioral finance--of how specific departures from fully rational decision making by individual market agents can provide explanations of otherwise puzzling market phenomena. As with the first volume, it reaches beyond the world of finance to suggest, powerfully, the importance of pursuing behavioral approaches to other areas of economic life.


The contributors are Brad M. Barber, Nicholas Barberis, Shlomo Benartzi, John Y. Campbell, Emil M. Dabora, Daniel Kent, François Degeorge, Kenneth A. Froot, J. B. Heaton, David Hirshleifer, Harrison Hong, Ming Huang, Narasimhan Jegadeesh, Josef Lakonishok, Owen A. Lamont, Roni Michaely, Terrance Odean, Jayendu Patel, Tano Santos, Andrei Shleifer, Robert J. Shiller, Jeremy C. Stein, Avanidhar Subrahmanyam, Richard H. Thaler, Sheridan Titman, Robert W. Vishny, Kent L. Womack, and Richard Zeckhauser.

Author / Editor information

Richard H. Thaler, the winner of the 2017 Nobel Prize in economics, is the Charles R. Walgreen Distinguished Service Professor of Behavioral Science and Economics at the University of Chicago Booth School of Business. His books include Quasi-Rational Economics (Russell Sage Foundation) and The Winner's Curse (Princeton). He is also the editor of the forerunner to the present volume, Advances in Behavioral Finance (Russell Sage Foundation).

Reviews

"This is an excellent and useful book which should be recommended to all students of finance."---Peter Howells, Economic Issues --- "Richard H. Thaler, Winner of the 2017 Nobel Prize in Economics"

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  • Part I. Limits to Arbitrage
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  • Part II. Stock Returns and the Equity Premium
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  • Part III. Empirical Studies of Overreaction and Underreaction
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  • Part IV. Theories of Overreaction and Underreaction
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  • Part V. Investor Behavior
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  • Part VI. Corporate Finance
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Publishing information
Pages and Images/Illustrations in book
eBook published on:
February 6, 2017
eBook ISBN:
9781400829125
Edition:
Course Book
Pages and Images/Illustrations in book
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