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題名:風險對散戶投資人過度自信的影響
書刊名:藝見學刊
作者:蔡永順陳彥宸張俊評臧仕維
作者(外文):Tsai, Yung-shunChen, Yan-chenChang, Chun-pingTzang, Shyh-weir
出版日期:2021
卷期:21
頁次:頁51-68
主題關鍵詞:風險融資融券過度自信散戶RiskMargin transactionOverconfidenceIndividual investor
原始連結:連回原系統網址new window
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  • 被引用次數被引用次數:期刊(0) 博士論文(0) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:0
  • 共同引用共同引用:37
  • 點閱點閱:5
期刊論文
1.蔡永順、劉文智(20110800)。臺灣機構投資人過度自信行為實證研究。臺灣管理學刊,11(2),91-126。new window  延伸查詢new window
2.Taylor, S. E.、Brown, J. D.(1988)。Illusion and Well-Being: A Social Psychological Perspective on Mental Health。Psychological Bulletin,103(2),193-210。  new window
3.Newbold, Paul、Granger, Clive W. J.(1974)。Experience with Forecasting Univariate Time Series and the Combination of Forecasts。Journal of the Royal Statistical Society: Series A (General),137(2),131-165。  new window
4.Heath, Chip、Tversky, Amos(1991)。Preference and Belief: Ambiguity and Competence in Choice under Uncertainty。Journal of Risk and Uncertainty,4(1),5-28。  new window
5.Bloomfield, R.、Libby, R.、Nelson, M. W.(1999)。Confidence and the welfare of less informed investors。Accounting, Organizations and Society,24(8),623-647。  new window
6.Daniel, Kent D.、Hirshleifer, David、Subrahmanyam, Avanidhar(2001)。Overconfidence, arbitrage, and equilibrium asset pricing。Journal of Finance,56(3),921-965。  new window
7.Einhorn, H. J.(1980)。Overconfidence in judgment。New Directions for Methodology of Social and Behavioral Science,4,1-16。  new window
8.Weinstein, N. D.(1980)。Unrealistic optimism about future life events。Journal of Personality and Social Psychology,39(5),806-820。  new window
9.李春安、王嘉祺、羅進水(20130600)。貪婪與恐懼對投資人風險調整行為之影響--展望理論觀點。證券市場發展,25(2)=98,1-54。new window  延伸查詢new window
10.Welch, I.(2000)。Herding among security analysts。Journal of Financial Economics,58(3),369-396。  new window
11.Russo, J. E.、Schoemaker, P. J. H.(1992)。Managing Overconfidence。Sloan Management Review,33(2),7-17。  new window
12.蕭木癸(20060600)。行為財務對公司理財議題的影響。中華技術學院學報,34,1-11。  延伸查詢new window
13.Barber, Brad M.、Odean, Terrance(2000)。Trading is hazardous to your wealth: The common stock investment performance of individual investors。The Journal of Finance,55(2),773-806。  new window
14.DeLong, J. Bradford、Shleifer, Andrei、Summers, Lawrence H.、Waldmann, Robert J.(1991)。The survival of noise traders in financial markets。Journal of Business,64(1),1-19。  new window
15.Odean, Terrance(1998)。Are Investors Reluctant to Realize Their Losses?。The Journal of Finance,53(5),1775-1798。  new window
16.Shefrin, Hersh、Statman, Meir(2000)。Behavioral Portfolio Theory。Journal of Financial and Quantitative Analysis,35(2),127-151。  new window
17.Shiller, Robert J.(1984)。Stock Prices and Social Dynamics。Brookings Papers on Economic Activity,2,457-510。  new window
18.Barsky, Robert B.、DeLong, J. Bradford(1993)。Why Does the Stock Market Fluctuate?。Quarterly Journal of Economics,108(2),291-311。  new window
19.Chuang, Wen-I、Lee, Bong-Soo(2006)。An Empirical Evaluation of the Overconfidence Hypothesis。Journal of Banking and Finance,30(9),2489-2515。  new window
20.Kahneman, Daniel、Riepe, Mark W.(1998)。Aspects of Investor Psychology。Journal of Portfolio Management,24(4),52-65。  new window
21.Odean, Terrance(1998)。Volume, Volatility, Price, and Profit When All Traders Are Above Average。Journal of Finance,53(6),1887-1934。  new window
22.Barberis, Nicholas、Shleifer, Andrei、Vishny, Robert W.(1998)。A model of investor sentiment。Journal of Financial Economics,49(3),307-343。  new window
23.de Long, J. Bradford、Shleifer, Andrei、Summers, Lawrence H.、Waldmann, Robert J.(1990)。Noise trader risk in financial markets。Journal of Political Economy,98(4),703-738。  new window
24.Griffin, Dale、Tversky, Amos(1992)。The Weighing of Evidence and the Determinants of Confidence。Cognitive Psychology,24(3),411-435。  new window
25.Statman, Meir、Thorley, Steven、Vorkink, Keith(2006)。Investor Overconfidence and Trading Volume。Review of Financial Studies,19(4),1531-1565。  new window
26.Brennan, Michael J.、Jagadeesh, Narasimhan、Swaminathan, Bhaskaran(1993)。Investment Analysis and the Adjustment of Stock Prices to Common Information。Review of Financial Studies,6(4),799-824。  new window
27.林翠蓉、張力、侯啟娉、李信翰(2012)。經理人過度自信與產品競爭行為關係之研究。會計與財金研究,5(1),17-42。  延伸查詢new window
28.De Bondt, Werner F. M.(1993)。Betting on Trends: Intuitive Forecasts of Financial Risk and Return。International Journal of Forecasting,9(3),355-371。  new window
29.Gervais, Simon、Odean, Terrance(2001)。Learning to be Overconfident。Review of Financial Studies,14(1),1-27。  new window
30.莊文議(2013)。過度自信交易行為誰比較嚴重。科學發展月刊,487,1-10。  延伸查詢new window
31.Koriat, Asher、Lichtenstein, Sarah、Fischhoff, Baruch(1980)。Reasons for Confidence。Journal of Experimental Psychology: Human Learning and Memory,6,107-118。  new window
32.Statman, M.(1999)。Behavior Finance: Past Battles and Future Engagements。Financial Analysts Journal,55,18-27。  new window
33.Kahneman, Daniel、Tversky, Amos(1979)。Prospect Theory: An Analysis of Decision under Risk。Econometrica: Journal of the Econometric Society,47(2),263-292。  new window
34.Chui, Andy C. W.、Wei, K. C. John(1998)。Book-to-market, Firm Size, and the Turn-of-the-year Effect: Evidence from Pacific-Basin Emerging Markets。Pacific-Basin Finance Journal,6(3/4),275-293。  new window
35.Fama, Eugene F.(1970)。Efficient Capital Markets: A Review of Theory and Empirical Work。The Journal of Finance,25(2),383-417。  new window
36.Odean, Terrance(1999)。Do Investors Trade too Much?。American Economic Review,89(5),1279-1298。  new window
37.Daniel, Kent D.、Hirshleifer, David A.、Subrahmanyam, Avanidhar(1998)。Investor Psychology and Security Market under- and Overreactions。The Journal of Finance,53(6),1839-1885。  new window
38.De Bondt, Werner F. M.、Thaler, Richard H.(1985)。Does the Stock Market Overreact?。The Journal of Finance,40(3),793-805。  new window
39.方智強、姚明慶(19980900)。臺灣上市公司的淨值市價比現象。管理學報,15(3),367-391。new window  延伸查詢new window
40.Benos, A. V.(1998)。Aggressiveness and Survival of Overconfidence Traders。Journal of Financial Markets,1,353-383。  new window
41.Bar-Tal, Yoram、Sarid, Anat、Kishon-Rabin, Liat(2001)。A Test of the Overconfidence Phenomenon Using Audio Signals。The Journal of General Psychology,128(1),76-80。  new window
研究報告
1.Statman, M.、Thorley, S.(1999)。Investor overconfidence and trading volume。  new window
2.Hilary, Gilles、Menzly, Lior(2001)。Does Past Success Lead Analysts to Become Overconfident?。University of Chicago。  new window
3.Statman, M.、Thorley, S.(1998)。Overconfidence and Trading Volume。Santa Clara University。  new window
學位論文
1.曾建閎(2012)。股票波動、當沖交易與報酬(碩士論文)。國立暨南國際大學。  延伸查詢new window
2.陳俊諺(2004)。台灣股市散戶投資人過度自信現象之再實證研究(碩士論文)。朝陽科技大學。  延伸查詢new window
3.王蕙珊(2005)。台灣股票市場過度自信假說之實證研究(碩士論文)。國立中興大學。  延伸查詢new window
4.何一帆(2013)。台灣投資人過度自信之探討--以塑化股為例(碩士論文)。義守大學。  延伸查詢new window
5.林倖如(2005)。過度自信與資訊不對稱(碩士論文)。國立清華大學。  延伸查詢new window
6.柳達維(2012)。金融控股公司高階主管聲譽與公司風險(碩士論文)。國立高雄第一科技大學。  延伸查詢new window
7.張承德(2012)。經理人過度自信與科技多角化之關係(碩士論文)。國立成功大學。  延伸查詢new window
8.張莉莉(2010)。全球金融風暴下共同基金投資人行為研究(碩士論文)。國立高雄大學。  延伸查詢new window
9.許哲偉(2012)。CEO過度自信對企業財務危機影響之研究(碩士論文)。國立中正大學。  延伸查詢new window
10.陳威儒(2012)。投資人行為研究分析(碩士論文)。國立臺北科技大學。  延伸查詢new window
11.曾子朋(2008)。台灣股市投資人過度自信與自信不足研究--以營建類股為例(碩士論文)。國立中山大學。  延伸查詢new window
12.劉玉珍(2014)。股票價格、風險與景氣對過度自信的影響(碩士論文)。亞洲大學。  延伸查詢new window
13.簡郁人(2012)。訊息不確定對投資人過度自信交易行為之影響(碩士論文)。國立臺灣大學。  延伸查詢new window
14.鄺一帆(2011)。風險傾向、風險認知、過度自信與捷思對股票投資績效的影響:結構關係模型之應用(碩士論文)。國立臺灣大學。  延伸查詢new window
15.甘斐任(2008)。台灣股市投資人過度自信行為之研究(碩士論文)。國立臺北大學。  延伸查詢new window
圖書論文
1.Lichtenstein, S.、Fischhoff, B.、Phillips, L. D.(1982)。Calibration of probability: The state of the art to 1980。Judgment under uncertainty: Heuristics and Biases。Cambridge University Press。  new window
2.De Bondt, W. F. M.、Thaler, R. H.(1995)。Financial Decision-Making in Markets and Firms: A Behavioral Perspective。Handbooks in Operations Research and Management Science, Vol. 9: Finance。Elsevier Press。  new window
3.Alpert, M.、Raiffa, H.(1982)。A progress report on the training of probability assessors。Judgment under Uncertainty: Heuristics and Biases。NY:Cambridge University Press。  new window
 
 
 
 
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