Behavioral finance
Material type: TextPublication details: McGraw Hill Education (India) Pvt. Ltd. New Delhi 2019Description: Various PagesISBN:- 9789385965555
- 332.6019 CHA
Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|---|
Book | Indian Institute of Management LRC General Stacks | Finance & Accounting | 332.6019 CHA (Browse shelf(Opens below)) | 1 | Available | 000613 |
Table of content
PART I: NEOCLASSICAL FINANCE, PROSPECT THEORY, AND MARKET INEFFICIENCY
1. Rational Expectations Paradigm and the Behavioural Challenge
2. Foundations of Rational Finance
3. Prospect Theory, Framing, & Mental Accounting
4. Inefficient Market Hypothesis
PART II: FOUNDATIONS OF BEHAVIOURAL FINANCE
5. Heuristics and Biases
6. Self- deception
7. Emotional Factors and Social Forces
8. Neuroscientific and Biological Perspective
PART II: BEHAVIOURAL ASPECTS OF INVESTING
9. Investor Behaviour
10. Market Outcomes
11. Value Investing
PART IV: BEHAVIORAL CORPORATE FINANCE
12. Behavioural Corporate Finance
13. Building a Smart Organisation
PART V: OTHER INSIGHTS
14. Wisdom From Other Sources
Appendix A: Global Financial Crisis
This book on Behavioural Finance discusses about financial decision making and financial markets from the perspective of behavioural sciences and allied disciplines. A well-researched book in the upcoming area, it is meant to be a text-book for the first course on behavioural finance. It will also provide investment practitioners and finance executives a rich understanding of the behavioural dimensions of their decisions.
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