نتایج جستجو برای: financial literacy of investors
تعداد نتایج: 21187300 فیلتر نتایج به سال:
Behavioral finance aims to understand the reasoning patterns of investors, constrained by emotional processes, and how they influence decision-making. This motivated work, whose purpose is evaluate individuals' decision-making behavior under risk/uncertainty. The methodological procedure adopted exploratory research through a questionnaire grounded prospect theory cognitive reflection test with...
Harmonisation of accounting standards has been an important process in response to globalisation of capital markets. “The globalisation of capital markets and the developments in telecommunications and the internet bring new significance to the need for comparable and transparent financial reporting and require new thinking by companies, investors, creditors and auditors about what financial in...
XBRL has the ability to provide financial statements with improved data information quality (DIQ). Contextual and representational DIQ are relevant to perceptual and decision factors of nonprofessional investors when they interact with XBRL-based financial statements and make investment decisions. The author posits that XBRL-based financial statements with improved contextual and representation...
financial markets will offer facilities to investors and helps to receive the growth path that we need. tehran stock exchange (t.s.e) market was developed in recent years to help investors and give rise to resources for this purpose. stock market most obtain stockholders satisfaction to guarantee fortune it depends stocks rate of return. clear information will help stock holders receive this ai...
The field of modern financial economics assumes that people behave with extreme rationality, but they do not. Furthermore, people’s deviations from rationality are often systematic. Behavioral finance relaxes the traditional assumptions of financial economics by incorporating these observable, systematic, and very human departures from rationality into standard models of financial markets. We h...
this research is a study on indicators of listening instruction in iranian english as a foreign language (efl) curriculum at guidance school and high school educational levels. this thesis aims at determining: a) the indicators of listening instruction at guidance school and high school efl curriculum. b) the indicators of listening instruction in irans guidance school and high school efl curri...
We propose that consumers’ investment decisions involve processes of promotion and prevention regulation that are managed across separate mental accounts, with different financial products seen as representative of promotion versus prevention. Consistent with this hypothesis, we show that (a) investors are differentially sensitive to gains and losses and differentially risk seeking depending on...
this paper uses a multivariate garch model to simultaneously estimate the mean and conditional variance using daily returns among different tehran sector indexes from tir 1386 to tir 1391. since different financial assets are traded based on these sector indexes, it is important for financial market participants to understand the volatility transmission mechanism over time and across sectors in...
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