Artikel

Operationalizing a Behavioral Finance Risk Model: A Theoretical and Empirical Framework

To keep up with the rather fast-growing interest in the discipline of Behavioral Finance and Economics caused in part by the new realities of the post-200S world, and the realities prevailing over three decades before and leading up to that year- there is a discernible need for the production of new generations of testable and yet more realistic models and theories as guides for financial and economic decision makers everywhere. The present work is one such attempt in that direction. This writing first improves upon a recently developed, and real-life-inspired, Behavioral Finance Risk Model (Yazdipour, 2011) and then offers a specific methodology for testing it.

Language
Englisch

Bibliographic citation
Journal: The Journal of Entrepreneurial Finance (JEF) ; ISSN: 1551-9570 ; Volume: 16 ; Year: 2013 ; Issue: 2 ; Pages: 1-32 ; Montrose, CA: The Academy of Entrepreneurial Finance (AEF)

Classification
Management
Criteria for Decision-Making under Risk and Uncertainty
Corporate Finance and Governance: Other
New Firms; Startups
Subject
Behavioral Finance
Behavioral Economics
Risk and uncertainty
Risk Model

Event
Geistige Schöpfung
(who)
Yazdipour, Rassoul
Neace, William P.
Event
Veröffentlichung
(who)
The Academy of Entrepreneurial Finance (AEF)
(where)
Montrose, CA
(when)
2013

Handle
Last update
10.03.2025, 11:44 AM CET

Data provider

This object is provided by:
ZBW - Deutsche Zentralbibliothek für Wirtschaftswissenschaften - Leibniz-Informationszentrum Wirtschaft. If you have any questions about the object, please contact the data provider.

Object type

  • Artikel

Associated

  • Yazdipour, Rassoul
  • Neace, William P.
  • The Academy of Entrepreneurial Finance (AEF)

Time of origin

  • 2013

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