نتایج جستجو برای: investment behavior

تعداد نتایج: 685152  

Journal: :Transactions of the Japanese Society for Artificial Intelligence 2010

Journal: :International Journal of Financial Studies 2021

This study aims to explore the investment behavior of female entrepreneurs as new competitor in field and determine underlying factors that influence their attitudes. A qualitative investigation approach was employed for includes 18 in-depth exploratory interviews ascertain fundamental determinants represented by entrepreneurs, an emergent section investment. The accumulated data analyzed throu...

Journal: :International Journal of Economics and Financial Issues 2020

Journal: :AJAR (Asian Journal of Accounting Research) 2023

Purpose The authors examine the effect of politically connected supervisory board (PV_SVP) on corporate investment behavior in Indonesia period 2015–2019. Design/methodology/approach use Indonesian listing companies as our sample. Ordinary Least Squares regression is applied to investigate this association. Also, address endogeneity problem by using generalized method moments. Findings find tha...

2009
Amy Gordon

The current study investigated commitment and organizational citizenship behavior (OCB) using the Rusbult’s (1980) Investment Model. It was hypothesized that the commitment would predict OCB and workplace behaviors and mediate the effects of satisfaction, investments, and alternatives on OCB. Participants completed online surveys that also included measures of conscientiousness and Meyer and Al...

2003
Gina Nicolosi Liang Peng Ning Zhu

After analyzing retail investors’ stock trades for potential learning behavior, we present evidence that individual investors learn from their trading experience. Initially, we question whether investors’ previous forecasting ability (inferred from prior purchases’ subsequent risk-adjusted performance) affects their future trade profitability and activity. Indeed, as an investor’s inferred abil...

2015
Isabel Marco Fernando Muñoz María Vargas

This paper analyses the risk-taking behavior of a fund manager in response to prior performance by conducting a comparative analysis between ethical and conventional investment portfolios.We examine the influence on managerial risk taking of the compensation and employment incentives. Our analysis looks at the British and Italian markets. We find differences in behavior between the two groups, ...

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