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Campo DC | Valor | Lengua/Idioma |
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dc.contributor.author | González Igual, Manuel | es-ES |
dc.contributor.author | Corzo Santamaría, María Teresa | es-ES |
dc.date.accessioned | 2016-05-23T12:55:31Z | - |
dc.date.available | 2016-05-23T12:55:31Z | - |
dc.date.issued | 15/03/2017 | es_ES |
dc.identifier.issn | 1307-1637 | es_ES |
dc.identifier.uri | http://hdl.handle.net/11531/8031 | - |
dc.description | Artículos en revistas | es_ES |
dc.description.abstract | Desarrollo de un mapa conceptual de la literatura en Behavioral Finance | es-ES |
dc.description.abstract | This paper develops a conceptual map of the literature on behavioral finance related to asset pricing, by a review and synthesis of the literature. We analyze the empirical evidence of financial market anomalies related with overreaction and underreaction and present an overview of the main psychological theories that describe irrational investor behavior: the Representativeness Heuristic and Prospect Theory. We go on to describe and classify the behavioral models based on overconfidence, loss aversion, herding and other irrational biases that explain the lack of correlation between risk and return in the financial markets. In order to contribute to further systematization in the field, we draw a conceptual map showing the relationship between the referred psychological theories and behavioral models. Finally, we address the critics and alternative theories and identify issues for further research, introducing among others the concepts of rational irrationality and the time variable as key factors in the analysis of irrational market behavior. | en-GB |
dc.format.mimetype | application/vnd.openxmlformats-officedocument.wordprocessingml.document | es_ES |
dc.language.iso | en-GB | es_ES |
dc.rights | es_ES | |
dc.rights.uri | es_ES | |
dc.source | Revista: International Journal of Economic Perspectives, Periodo: 4, Volumen: 11, Número: 1, Página inicial: 273, Página final: 290 | es_ES |
dc.subject.other | Behavioral Finance y alternativas a la teoría financiera clásica | es_ES |
dc.title | Overconfidence, Loss Aversion and Irrational Investor Behavior: a Conceptual Map | es_ES |
dc.type | info:eu-repo/semantics/article | es_ES |
dc.description.version | info:eu-repo/semantics/publishedVersion | es_ES |
dc.rights.holder | La revista tiene el copyright. web: http://www.econ-society.org/ijep_contents_11.1.php | es_ES |
dc.rights.accessRights | info:eu-repo/semantics/restrictedAccess | es_ES |
dc.keywords | mapa conceptual, behavioral finance | es-ES |
dc.keywords | Conceptual map, behavioral finance | en-GB |
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