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BORTLOVÁ, H.
Originální název
Behavioral finance – the investors‘ approach
Typ
článek ve sborníku mimo WoS a Scopus
Jazyk
angličtina
Originální abstrakt
Purpose of the article This paper deals with the field of behavioral finance. It introduces its fundamental basis. Scientific aim The main scientific goal of this paper is to answer following question: What is the behavioral finance and what are the various investors' approaches? Methodology/methods A literature review of secondary sources has been used as a main methodology for this paper. Findings None Conclusion Behavioral finance offers explanations on what basis the investors make financial decisions which are often irrational. It shows and proves how emotions and cognitive errors nfluence decision making process of not only investors. Behavioral finance provides significant amount of insights for investment professionals and consequently suggests a framework for the evaluation of all investment strategies for the investors.
Klíčová slova
Behavioral finance, Psychology, Sociology, Standard finance, Investor
Autoři
Vydáno
31. 12. 2013
BibTex
@inproceedings{BUT139060, author="Hana {Bortl}", title="Behavioral finance – the investors‘ approach", year="2013" }