A crisis of beliefs: investor psychology and financial fragility
Material type:
- 978-0-691-18250-6
- HB/3717/G46/2018
Contents:
Contiene: 1. Introducción.- 2. The financial crisis of 2008.- 3. What were they thinking?.- 4. A neglected risk model of the financial crisis.- 5. Extrapolation in financial markets.- 6. Representativesness and diagnostic beliefs.- 7. Diagnostic expectations and credit cycles.- 8. Open problems.
Item type | Current library | Call number | Status | Barcode | |
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Biblioteca de la Superintendencia del Mercado de Valores - SMV | HB/3717/G46/2018 (Browse shelf(Opens below)) | Available | 009967 |
Contiene: 1. Introducción.- 2. The financial crisis of 2008.- 3. What were they thinking?.- 4. A neglected risk model of the financial crisis.- 5. Extrapolation in financial markets.- 6. Representativesness and diagnostic beliefs.- 7. Diagnostic expectations and credit cycles.- 8. Open problems.
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