Investors' behavior on S & P 500 index during periods of market crashes a visibility graph approach

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:Handbook of investors' behavior during financial crises
1. Verfasser: Vamvakaris, Michail D. (VerfasserIn)
Weitere Verfasser: Pantelous, Athanasios A. (VerfasserIn), Zuev, Konstantin (VerfasserIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 2017
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Verfasser
Investor behavior before and after the financial crisis : accounting standards and risk appetite in fixed income investing 2017 Xanthopoulos, Apostolos
Governing financial orders which have been grown and not made : the origins of the financial crisis in financial gridlock 2017 Forbes, William
Overconfidence in finance : overview and trends 2017 Ferreira, Mário Pedro Leite de Almeida
Doctor Jekyll and Mr. Hyde : stress testing of investor behavior 2017 Bertelli, Ruggero
Herding in the Athens stock exchange during different crisis periods 2017 Economou, Fotini
The behavior of individual online investors before and after the 2007 financial crisis : lessons from the French case 2017 Haguet, Daniel
On the pricing of commonality across various liquidity proxies in the London stock exchange and the crisis 2017 Lim, SungKyu
Debt markets, financial crises, and public finance in the Eurozone : action, structure, and experience in Greece 2017 Andreou, Akrivi
Rational agents and irrational bubbles 2017 Krichevskiy, Dmitriy
The similarities between the Bulgarian local financial crisis in 1997 and the global financial crisis in 2008 2017 Orecharski, Plamen
Herding, volatility, and market stress in the Spanish stock market 2017 Blasco, Natividad
Bank failures and management inefficiency during the global financial crisis 2017 Bradrania, Reza
Market sentiment and contagion in euro-area bond markets 2017 Georgoutsos, Demetris A.
Regime switching on the relationship between stock returns and currency values : evidende from the 1997 Asian crisis 2017 Li, Huimin
Simple tactical asset allocation strategies on the S & P 500 and the impact of VIX fluctuations 2017 Vorlow, Constantinos E.
Illiquidity as an investment style during the financial crisis in the United Kingdom 2017 Said, Husaini
Optimal bubble exit strategies 2017 Voliotis, Dimitris
Financial crisis and herd behavior : evidence from the Borsa Instanbul 2017 Durukan, Mübeccel Banu
Liquidity and beta herding in emerging equity markets 2017 Krokida, Styliani-Iris A.
Why history matters to financial economists : the case of Black Monday 1987 2017 Müller, Camillo von
Alle Artikel auflisten