Charlotte Borsboom

Radboud University Nijmegen

Postbus 9108

Nijmegen, 6500 HK

Netherlands

SCHOLARLY PAPERS

4

DOWNLOADS

721

SSRN CITATIONS

7

CROSSREF CITATIONS

0

Scholarly Papers (4)

1.

History Matters: How Short-Term Price Charts Hurt Investment Performance

Journal of Banking and Finance, 2021
Number of pages: 30 Posted: 13 Jan 2021 Last Revised: 21 Sep 2021
Radboud University Nijmegen, Radboud University Nijmegen - Department of Economics, Radboud University Nijmegen - Institute for Management Research and Radboud University, Institute for Management Research
Downloads 261 (181,464)
Citation 1

Abstract:

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behavioral finance, experimental finance, investor behavior, price charts, display horizons, risk-taking, myopic loss aversion, overtrading

2.

What Makes an Investment Risky? An Analysis of Price Path Characteristics

Journal of Economic Behavior & Organization (2020), 169, 92-125
Number of pages: 53 Posted: 10 Jun 2019 Last Revised: 11 Sep 2020
Charlotte Borsboom and Stefan Zeisberger
Radboud University Nijmegen and Radboud University, Institute for Management Research
Downloads 256 (185,011)
Citation 4

Abstract:

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behavioral finance, experimental finance, price paths, path characteristics, investor risk perception, investment decision-making

3.

Stock Price Level Effect

Number of pages: 40 Posted: 20 Aug 2021
Charlotte Borsboom and Sascha Füllbrunn
Radboud University Nijmegen and Radboud University Nijmegen - Institute for Management Research
Downloads 160 (283,818)

Abstract:

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stock price, nominal stock price puzzle, stock splits, number processing, fractional share purchases, naive trading strategies, numerosity

4.

Domain-dependent Diversification: The Influence of Gain-loss Domain and Information Aggregation on Correlation Choice

Number of pages: 43 Posted: 27 Aug 2021
Charlotte Borsboom, Darren Duxbury and Stefan Zeisberger
Radboud University Nijmegen, Newcastle University Business School and Radboud University, Institute for Management Research
Downloads 44 (618,308)

Abstract:

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behavioral finance, experimental finance, diversification, domain dependency, asset correlation, counter-cyclical risk aversion, stock market conditions