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Behavioral Finance : A Survey of the Literature and Recent Development

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dc.contributor.authorPark, Hyoyoun-
dc.contributor.authorSohn, Wook-
dc.date.accessioned2013-10-28T06:37:01Z-
dc.date.available2013-10-28T06:37:01Z-
dc.date.issued2013-06-
dc.identifier.citationSeoul Journal of Business, Vol.19 No.1, pp. 3-42-
dc.identifier.issn1226-9816-
dc.identifier.urihttps://hdl.handle.net/10371/83787-
dc.description.abstractThis paper summarizes recent studies in behavioral finance—particularly regarding market anomalies and investor behavior—that are not reconciled with the traditional finance paradigms. This paper differs from previous survey literature in several aspects. We introduce more recent papers in the field, more literature on behavioral corporate finance, and provide statistics on the recent trends that are explored in behavioral finance papers. We expand the research scope to studies on Korean financial markets, introduce specific funds using behavioral finance techniques, and discuss the challenges facing behavioral finance.-
dc.language.isoen-
dc.publisherCollege of Business Administration (경영대학)-
dc.subjectBehavioral finance-
dc.subjectMarket anomalies-
dc.subjectMarket efficiency-
dc.subjectSurvey of literature-
dc.titleBehavioral Finance : A Survey of the Literature and Recent Development-
dc.typeSNU Journal-
dc.contributor.AlternativeAuthor박효원-
dc.contributor.AlternativeAuthor손욱-
dc.citation.journaltitleSeoul Journal of Business-
dc.citation.endpage42-
dc.citation.number1-
dc.citation.pages3-42-
dc.citation.startpage3-
dc.citation.volume19-
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