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文章基本信息

  • 标题:Correlation Neglect and Overconfidence. An Experimental Study
  • 本地全文:下载
  • 作者:Markus Spiwoks ; Kilian Bizer
  • 期刊名称:Journal of Applied Finance and Banking
  • 印刷版ISSN:1792-6580
  • 电子版ISSN:1792-6599
  • 出版年度:2018
  • 卷号:8
  • 期号:3
  • 出版社:Scienpress Ltd
  • 摘要:For the first time in economic research, the present experimental study confronted participants with the task to predict stock prices ex ante in order to analyze the interrelation of the behavioral anomalies overconfidence and correlation neglect. The study shows that the participants considerably overestimate their accuracy of forecasting (overconfidence). Almost half of all participants (42.2%) disregard the correlation among return developments for different financial instruments (correlation neglect). It was also observed that the correlation neglect, when forecasting diversified financial instruments (funds), has a cushioning effect on overconfidence.
  • 关键词:Behavioral Finance; Experiments; Stock Price Forecasts; Correlation Neglect; Overconfidence
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