134 Hofstra University
Hempstead, NY 11549
United States
Hofstra University - Frank G. Zarb School of Business
SSRN RANKINGS
in Total Papers Downloads
in Total Papers Citations
Investor sentiment, technical analysis, hedge funds, fund performance, risk, timing ability
Attribution bias, overconfidence, individual trading behavior, bull market, and bear market JEL Classification: G02, G11, G12
factor models, beta matrix, rank, risk factors, and asset prices
cultural diversity, heterogeneous interpretations, investor disagreement
trust, local bias, individual investors, portfolio concentration, information advantage, familiarity bias.
individual investors, financial crisis, net flows, portfolio risk
Credit Default Swaps, CEO Compensation, Vega, Managerial Risk Taking, Debtholder-Shareholder Conflict
stock message board, investor sentiment, local versus nonlocal posts, return predictability, small stocks.
FinTech adoption, information advantage, bank loan spreads, and lending practices.
air pollution, corporate social responsibility, stock returns and risks, internet search volumes, salience.
Credit Default Swaps, Corporate Investment
short-sale constraints, stock index futures; investor optimism
Technical indicators, sentiment, mispricing, short-sale constraints, and difficult-to-arbitrage securities