Risk tolerance in financial decision making
著者
書誌事項
Risk tolerance in financial decision making
(Palgrave Macmillan studies in banking and financial institutions)
Palgrave Macmillan, 2011
- : hardback
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注記
Includes bibliographical references (p. 244-264) and index
内容説明・目次
内容説明
This book sheds light on the emotional side of risk taking behaviour using an innovative cross-disciplinary approach, mixing financial competences with psychology and affective neuroscience. In doing so, it shows the implications for market participants and regulators in terms of transparency and communication between intermediaries and customers.
目次
- Introduction
- C.Lucarelli The Role of Risk in the Investment Decision Process: Traditional vs Behavioural Finance
- C.Mazzoli & N.Marinelli Household Behaviour and Debt Demand
- D.Vandone The Traditional Approach to Risk Tolerance
- C.Mazzoli & N.Marinelli Risk of Over-indebtedness and Behavioural Factors
- L.Anderloni & D.Vandone Decision Making: Psychological Perspective
- C.Ottaviani, V.Nucifora, R.Borlimi & G.Brighetti The Layout of the Empirical Analysis
- C.Lucarelli, C.Ottaviani & D.Vandone The Indicators of Risk
- C.Lucarelli & G.Palomba Results on the Investment Side
- C.Lucarelli The Determinants of Household Debt Holding: An Empirical Analysis
- D.Vandone & C.Ottaviani The Implications for Market Participants and Regulators
- G.Brighetti, C.Lucarelli & D.Vandone
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