Time-varying risk behavior and prior investment outcomes: Evidence from Italy
Risk behavior can be capricious and may vary from month to month. We study 62 clients of a private bank in Northern Italy. The individuals are of special interest for several reasons. As active traders, they manage the value-at-risk (VaR) of a portion of their wealth portfolios. In addition, they ac...
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| Autors principals: | , , , |
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| Format: | Artigo |
| Idioma: | Inglês |
| Publicat: |
Cambridge University Press
2018-09-01
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| Col·lecció: | Judgment and Decision Making |
| Matèries: | |
| Accés en línia: | http://journal.sjdm.org/18/18207a/jdm18207a.pdf |
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