Contemporary Issues in Behavioral Finance 1st Edition by Simon Grima, Ercan Özen, Hakan Boz, Jonathan Spiteri, Eleftherios Thalassinos – Ebook PDF Instant Download/Delivery: 9781787698833 ,1787698831
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ISBN 10: 1787698831
ISBN 13: 9781787698833
Author: Simon Grima, Ercan Özen, Hakan Boz, Jonathan Spiteri, Eleftherios Thalassinos
Contemporary Issues in Behavioral Finance 1st Edition Table of contents:
Chapter 1: Risk and Control in Consumer Behavior: A Discussion
1. Introduction
2. Definition of the Risk Concept
2.1. The Risk Concept in Consumer Behavior
2.2. Perceived Risk as a Multi-dimensional Concept
2.3. Risk Reduction Strategies
3. The Concept of Consumer Control
3.1. Control as a Coping Strategies Against Risks
4. Conclusion
References
Additional Resources
Chapter 2: Using Artificial Intelligence Techniques for Economic Time Series Prediction
1. Introduction
2. Literature View
3. Predicting Economic Data
3.1. Time Series Prediction and Machine Learning
3.2. Techniques for Prediction Applications
3.3. Alternative Input–Output Orders for Prediction
4. Applications and Evaluation
5. Future Research Ideas
6. Conclusions
References
Chapter 3: Volatility Spillovers Between BIST100 Index and S&P500 Index
1. Introduction
2. Review of Literature
3. Data
4. Methodology
4.1. Causality in Variance Test
4.2. MGARCH Models
5. Findings and Discussions
6. Concluding Remarks
References
Chapter 4: Brand Reputation and its Influence on Consumers’ Behavior
1. Introduction
1.1. Branding
1.2. Image and Reputation in Branding
1.3. Beliefs and Attitudes
2. The Aaker’s and Joachimstahler’s Model of Consumer Brand Equity
3. Conclusion
References
Chapter 5: An Investigation of Augmented Reality Applications from the Perspectives of Brand Trust a
1. Introduction
2. Literature Review
2.1. Brand Trust and Purchase Intention within the Contextof Experiential Marketing
2.2. AR Application
3. An Experiential Field Research on an AR Application
3.1. Purpose and Method of the Study
3.2. Research Findings and Discussion
3.2.1. Demographics
3.2.2. Purchasing Behaviors of the Respondents
3.2.3. Differences Regarding Respondents’ Attitudes toward Brand Trust and Purchase Intentions
4. Concluding Remarks
References
Chapter 6: Women’s Cooperatives as a Tool of Employment Policy in Turkey
1. Introduction
2. A Brief Look at the Historical Dynamics of Cooperatives in Turkey
3. The Course of Women’s Cooperatives in Turkey
4. Women’s Cooperatives as a Tool of Employment Policy
5. Conclusion
References
Chapter 7: The Impact of Financial Literacy on Cognitive Biases of Individual Investors
1. Introduction
2. Traditional Behavioral Models in Finance
2.1. Efficient Market Hypothesis
2.2. Expected Utility Theory
2.3. Bayesian Learning Theory
3. Criticism Of Traditional Finance Models
3.1. Allais Paradox
3.2. Ellsberg Paradox
4. Behavioral Finance and Cognitive Biases
4.1. Conservatism
4.2. Mental Accounting
4.3. Overconfidence
4.4. Framing
4.5. Representativeness
4.6. Avoidance of Ambiguity
4.7. Cognitive Contradiction
4.8. Anchoring
4.9. Status Quo Biases
4.10. Optimism
4.11. Herding
4.12. Regret Avoidance
4.13. Loss Aversion
5. Literature Review
6. Methodology
6.1. Purpose and Method of the Research
6.2. Findings and Comment
7. Conclusion
References
Chapter 8: Retirement Planning: A Literature Review
1. Introduction
2. European Data
3. The Scope of the Study
4. Behavioral Influences
5. Significance of the Study
6. Behavior in Financial Services
7. Retirement Planning in Malta
8. Behavioral Obstacles to Proper Planning and How they are Tackled in Different European Countries
9. Conclusion
References
Chapter 9: A Comparative Survey Over Time Between Cash and Cashless Payments in Poland
1. Introduction
2. Literature Review
3. Research Method and Results of Primary Research
4. Possibility of Cashless Payment
5. Conclusion
References
Chapter 10: Marketing Communications and Experiential Marketing in the Context of Augmented Reality
1. Introduction
2. Literature Review
2.1. Marketing Communication
2.2. Experiential Marketing
2.3. Augmented Reality
3. A Field Study on AR Application
3.1. Importance, Purpose, and Method of Research
3.2. Method of Research and Hypotheses
4. Findings and Comments
5. Comments
6. Conclusion
References
Chapter 11: Exports, Imports, and the Exchange Rate: A Causality Analysis for Turkey (2004–2017)
1. Introduction
2. Exchange Rate, Imports, and Exports Relationship
3. Literature
4. Data and Research Method
5. Empirical Analysis and the Results
6. Summary and Concluding Remarks
References
Chapter 12: Herd Behavior in the Borsa Istanbul
1. Introduction
2. Herd Behavior and Types
2.1. Herd Behavior Types
2.1.1. Rational Herd Behavior
2.1.1.1. Informational Cascade
2.1.1.2. Compensation Based on Herding
2.1.1.3. Reputation Based on Herding
2.1.2. Irrational Herd Behavior
2.2. Literature Review
3. Investigating Herd Behavior on the Bist Whole Index
3.1. Findings
4. Conclusion
References
Chapter 13: Factors Affecting Internet Banking Preferences and Their Relation to Demographic Charact
1. Introduction
2. Literature Review
3. Method
4. Analysis
5. Results
6. Determination of Factors Affecting Internet Banking Preferences
7. Conclusion
References
Chapter 14: Who Wants to be a Millionaire? A Behavioral Economy Analysis
1. Introduction
2. Literature Review
3. Data and Methodology
3.1. Lifelines
4. Empirical Results
5. Conclusions
References
Chapter 15: Herd Behavior and its Effects on the Purchasing Behavior of Investors
1. Introduction
2. Efficient Market Hypothesis
2.1. Weak Form Market Efficiency
2.2. Semi-strong Form Market Efficiency
2.3. Strong Form Market Efficiency
3. Herd Behavior
3.1. Rational Herd Behavior
3.1.1. Information-based Herd Behavior
3.1.2 Reputation-based Herd Behavior
3.1.3. Compensation-based Herd Behavior
3.2. Irrational Herd Behavior
4. Purchasing Decision and Herd Behavior in Financial Markets
5. Conclusion
References
Chapter 16: Retirement Planning by Maltese Nationals: A Study of Influential Factors
1. Introduction and Scope
2. Need for the Study
3. Expectation
4. Methodology
5. Limitations
6. Findings and Discussion
6.1. Financial Literacy
6.2. Retirement Outlook
6.3. Retirement Savings
6.4. Means of Saving Toward Retirement
7. Findings from Interviews
8. Limitations
9. Conclusions and Recommendations
9.1. Application of the Findings to the Local Market
9.2. Concluding Remarks
References
Appendix: Online Survey
Chapter 17: How Does Governance Help World Stock Market Development?
1. Introduction
2. WGIs and Stock Market Performance: A Review of Relevant Literature
2.1. The Relationship between Political Stability and Stock Market Performance
2.2. The Relationship between Government Effectiveness and Stock Market Performance
2.3. The Relationship between Regulatory Quality and Stock Market Performance
2.4. The Relationship between Rule of Law and the Stock Market Performance
2.5. The Relationship between Control of Corruption and the Stock Market
3. Model, Data, and Variables
3.1. Model
3.2. Data and Variables
3.3. Methodology
3.3.1. Linearity versus Nonlinearity
3.3.2. Normality Test
3.3.3. Panel Johansen Co-integration Test
4. Empirical Findings
4.1. Co-integration Regression
4.2. Robustness Test Using Discriminant Analysis
4.3. The Results of Discriminant Estimates: The Z-Score Model
5. Conclusion
References
Index
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Tags: Simon Grima, Ercan Özen, Hakan Boz, Jonathan Spiteri, Eleftherios Thalassinos, Behavioral Finance