Arbeitspapier

Experimenting with Financial Professionals

Financial professionals play a key role in financial markets and the financial industry as a whole. Researchers in experimental economics and finance have therefore started to employ financial professionals as experimental participants. We examine this recent development in the field by reviewing 40 studies from the time period 1986-2022 which compare experimental results from samples of professionals in the finance industry to those from other samples. The considered studies cover a wide array of issues relating to the finance industry, such as risk and uncertainty, asset markets, and financial forecasting, among others. With this comprehensive review, we contribute to recent discussions about external validity and generalizability, aim to synthesize the relevant experimental results, and discuss the key methodological considerations in experimenting with financial professionals.

Language
Englisch

Bibliographic citation
Series: Working Papers in Economics and Statistics ; No. 2022-07

Classification
Wirtschaft
Economic Methodology: General
Economic Methodology
Survey Methods; Sampling Methods
Design of Experiments: General
Field Experiments
Behavioral Finance: Role and Effects of Psychological, Emotional, Social, and Cognitive Factors on Decision Making in Financial Markets‡
Subject
experimental finance
experimental methodology
external validity
generalizability
finance industry

Event
Geistige Schöpfung
(who)
Huber, Christoph
König-Kersting, Christian
Event
Veröffentlichung
(who)
University of Innsbruck, Research Platform Empirical and Experimental Economics (eeecon)
(where)
Innsbruck
(when)
2022

Handle
Last update
10.03.2025, 11:42 AM CET

Data provider

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Object type

  • Arbeitspapier

Associated

  • Huber, Christoph
  • König-Kersting, Christian
  • University of Innsbruck, Research Platform Empirical and Experimental Economics (eeecon)

Time of origin

  • 2022

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