Nijmegen
Netherlands
Zürich
Switzerland
Radboud University
University of Zurich
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investor satisfaction, reference points, risk tolerance, investor behavior, experimental finance
loss aversion, probability of losing, Prospect Theory, repeated investing, aspiration level, investment decisions
behavioral finance, experience sampling, investment decision, risk tolerance
experimental economics, investment behavior, liquidity, monetary policy, asset market bubbles
Behavioral finance, simulated experience, experience sampling, investment decision, risk communication, financial advice
myopic loss aversion, Prospect Theory, repeated investing, experimental economics
Prospect Theory, time stability, risk preferences, experimental economics
Behavioral Finance, Experimental Finance, Individual Investors, Trading Behavior, Belief Formation
Risk, Risk Perception, Asset Market, Experiment
Behavioral finance, risk perception, risk communication, investment risk, investment propensity
overconfidence, miscalibration, methodology, experimental economics, experimental finance
Equity premium, Prospect theory
Behavioral Finance, Cumulative Prospect Theory, Portfolio Choice, Investment Strategy, Investment Horizon