Artykuły w czasopismach na temat „INVESTOR ATTITUDE”
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Mohan, Varun, Mahadev Ota i Pervaiz Iqbal. "A comparative study to find the optimal ordering quantity of the risk-neutral and risk-averse newsvendor". Yugoslav Journal of Operations Research, nr 00 (2023): 15. http://dx.doi.org/10.2298/yjor210815015m.
Pełny tekst źródłaSwasti, Istu Putri. "ANALYSIS OF INVESTOR BEHAVIOR IN THE ISLAMIC CAPITAL MARKET WITH AN APPROACH TRA (THEORY OF REASONED ACTION)". Manajemen Bisnis 10, nr 1 (18.09.2020): 58. http://dx.doi.org/10.22219/jmb.v10i1.10741.
Pełny tekst źródłaChen, Cherie H., i Handley-Schachler Morrison. "Investigation of Variation between Risk Attitude and Investment Biases". International Review of Financial Consumers 1, No. 1 Oct 2016 (1.10.2016): 57–80. http://dx.doi.org/10.36544/irfc.2016.1.5.
Pełny tekst źródłaSyarkani, Yofi, i Triyono Adi Tristanto. "Examining the predictors of crypto investor decision". International Journal of Research in Business and Social Science (2147- 4478) 11, nr 6 (12.09.2022): 324–33. http://dx.doi.org/10.20525/ijrbs.v11i6.1940.
Pełny tekst źródłaA, Antony Prabha, Renjith Kumar P i Sneha R. "INVESTORS ATTITUDE TOWARDS ONLINE AND OFFLINE TRADING OF MUTUAL FUNDS". INTERANTIONAL JOURNAL OF SCIENTIFIC RESEARCH IN ENGINEERING AND MANAGEMENT 07, nr 10 (1.10.2023): 1–11. http://dx.doi.org/10.55041/ijsrem26082.
Pełny tekst źródłaAprayuda, Riyadi, i Fauzan Misra. "Faktor Yang Mempengaruhi Keinginan Investasi Investor Muda di Pasar Modal Indonesia". E-Jurnal Akuntansi 30, nr 5 (25.05.2020): 1084. http://dx.doi.org/10.24843/eja.2020.v30.i05.p02.
Pełny tekst źródłaShafi, Haroon, Mubashir Hussain ., Syed Imran Sajjad . i Kashif Ur Rehman . "Relationship between Risk Perception and Employee Investment Behavior". Journal of Economics and Behavioral Studies 3, nr 6 (15.12.2011): 345–51. http://dx.doi.org/10.22610/jebs.v3i6.289.
Pełny tekst źródłaNabosu, Simon Sokorte, i Esther Nkatha M’ithiria. "Investor Sentiment and Stock Market Return of Non-Financial Firms Listed on the Nairobi Securities Exchange". Journal of Finance and Accounting 6, nr 3 (4.08.2022): 65–81. http://dx.doi.org/10.53819/81018102t2081.
Pełny tekst źródłaSadiq, Muhammad Nauman, i Muhammad Akhtar. "The Relationship of Investor’s Demographic Traits and Personality Type with Financial Risk Tolerance in Investment Decisions." Sukkur IBA Journal of Management and Business 6, nr 1 (19.09.2019): 87. http://dx.doi.org/10.30537/sijmb.v6i1.449.
Pełny tekst źródłaTamara, Dewi, Anita Maharani, Pantry Heriyati, Anom Bayu Romadian Seto i Kevin Nathanael. "Intention in Investing Digital Gold Through E-Commerce Platforms". E3S Web of Conferences 426 (2023): 02010. http://dx.doi.org/10.1051/e3sconf/202342602010.
Pełny tekst źródłaMusembi, Mwaka Samuel, Dr Samuel O. Onyuma i Dr James N. Kung’u. "Investor Characteristics and Their Effect on Investment Decisions among Public University Workers in Kenya". Journal of Economics and Public Finance 8, nr 2 (28.05.2022): p179. http://dx.doi.org/10.22158/jepf.v8n2p179.
Pełny tekst źródłaDhoke, Yogesh B., Shweta Rokde i Nikhil Bangde. "Investment Avenues and Investors Behaviour Towards Investment in Lic in Nagpur City". SAMRIDDHI : A Journal of Physical Sciences, Engineering and Technology 14, nr 01 SPL (30.06.2022): 72–75. http://dx.doi.org/10.18090/samriddhi.v14spli01.14.
Pełny tekst źródłaNakatani, Souta, Kiyohiko G. Nishimura, Taiga Saito i Akihiko Takahashi. "Interest Rate Model With Investor Attitude and Text Mining". IEEE Access 8 (2020): 86870–85. http://dx.doi.org/10.1109/access.2020.2992477.
Pełny tekst źródłaMuniraju, M., i K. R. Ramachandra. "MUTUAL FUNDS - HEADING TOWARDS". Ushus - Journal of Business Management 2, nr 1 (1.01.2003): 84–89. http://dx.doi.org/10.12725/ujbm.2.9.
Pełny tekst źródłaBianchi, Marcello, i Luca Enriques. "Corporate governance in Italy after the 1998 reform: What role for institutional investors?" Corporate Ownership and Control 2, nr 4 (2005): 11–31. http://dx.doi.org/10.22495/cocv2i4p1.
Pełny tekst źródłaKaur, Inderjit, i K. P. Kaushik. "Determinants of investment behaviour of investors towards mutual funds". Journal of Indian Business Research 8, nr 1 (21.03.2016): 19–42. http://dx.doi.org/10.1108/jibr-04-2015-0051.
Pełny tekst źródłaSeptyanto, Dihin, Nur Sayidah i Aminullah Assagaf. "The Intention of Investors in Making Investment Decisions in Sharia Stocks: Empirical Study in Indonesian". Academic Journal of Interdisciplinary Studies 10, nr 4 (8.07.2021): 141. http://dx.doi.org/10.36941/ajis-2021-0105.
Pełny tekst źródłaLun Lui, Li, Zhi Bo Zhong, John Francis Diaz i Fei Hsuing Fan. "INFLUENCE OF INVESTOR SENTIMENT, CHARACTERISTICS, AND INFORMATION SEQUENCE ON STOCK INVESTMENT DECISION: EVIDENCE FROM THE TAIWANESE MARKET". Labuan Bulletin of International Business and Finance (LBIBF) 16 (30.11.2018): 25–35. http://dx.doi.org/10.51200/lbibf.v16i.1640.
Pełny tekst źródłaSetyorini, Noni, i Ika Indriasari. "Does millennials have an investment interest? theory of planned behaviour perspective". Diponegoro International Journal of Business 3, nr 1 (30.06.2020): 28–35. http://dx.doi.org/10.14710/dijb.3.1.2020.28-35.
Pełny tekst źródłaShrestha, Pitambar. "A Study on Investor's Attitude towards Government Securities in Nepal". Journal of Business and Social Sciences 1, nr 1 (3.12.2018): 67–78. http://dx.doi.org/10.3126/jbss.v1i1.22829.
Pełny tekst źródłaShrestha, Pitambar. "A Study on Investor's Attitude towards Government Securities in Nepal". Journal of Business and Social Sciences 2, nr 1 (3.12.2018): 67–78. http://dx.doi.org/10.3126/jbss.v2i1.22829.
Pełny tekst źródłaChen, Kuen-Suan, Ruey-Chyn Tsaur i Nei-Chih Lin. "Dimensions Analysis to Excess Investment in Fuzzy Portfolio Model from the Threshold of Guaranteed Return Rates". Mathematics 11, nr 1 (22.12.2022): 44. http://dx.doi.org/10.3390/math11010044.
Pełny tekst źródłaYuwono, Wisnu, i Angelin Denis Yeo. "Analisis Perilaku Konsumen dan Keuangan Terhadap Minat Investasi Properti Kelas Menengah di Kota Batam". Jurnal Bisnis dan Kewirausahaan 16, nr 3 (28.11.2020): 221–31. http://dx.doi.org/10.31940/jbk.v16i3.2195.
Pełny tekst źródłaAhmad, Fawad. "Personality traits as predictor of cognitive biases: moderating role of risk-attitude". Qualitative Research in Financial Markets 12, nr 4 (13.06.2020): 465–84. http://dx.doi.org/10.1108/qrfm-10-2019-0123.
Pełny tekst źródłaBrody, Dorje C., i Lane P. Hughston. "Lévy information and the aggregation of risk aversion". Proceedings of the Royal Society A: Mathematical, Physical and Engineering Sciences 469, nr 2154 (8.06.2013): 20130024. http://dx.doi.org/10.1098/rspa.2013.0024.
Pełny tekst źródłaLi, Cai, Luyu Li, Jiaqi Zheng, Jizhi Wang, Yi Yuan, Zezhong Lv, Yinghao Wei, Qihang Han, Jiatong Gao i Wenhao Liu. "China’s Public Firms’ Attitudes towards Environmental Protection Based on Sentiment Analysis and Random Forest Models". Sustainability 14, nr 9 (22.04.2022): 5046. http://dx.doi.org/10.3390/su14095046.
Pełny tekst źródłaDewri, Leo Vashkor, i Md Rashidul Islam. "Behavioral Analysis of Investors’ Attitude towards Dividend Declaration in Developing Country–A Case of Bangladesh". International Journal of Business and Management 10, nr 11 (26.10.2015): 185. http://dx.doi.org/10.5539/ijbm.v10n11p185.
Pełny tekst źródłaSingh, Amarjeet. "Factors Affecting Millennials' Perspective on Investment Decision Behavior during the Pandemic". International Journal of Multidisciplinary: Applied Business and Education Research 3, nr 11 (12.11.2022): 2164–72. http://dx.doi.org/10.11594/ijmaber.03.11.01.
Pełny tekst źródłaHussain, Shahid. "The Sentimental Influence of Investors on Investment Decision Making". Journal of Finance and Accounting Research 3, nr 1 (30.06.2021): 85–100. http://dx.doi.org/10.32350/jfar.0301.05.
Pełny tekst źródłaKonstantaras, K., i A. N. Piperopoulou. "Stock market trading: Compulsive gambling and the underestimation of risk". European Psychiatry 26, S2 (marzec 2011): 66. http://dx.doi.org/10.1016/s0924-9338(11)71777-1.
Pełny tekst źródłaKasprowicz, Tomasz, i Andrzej Bednorz. "Threshold Theory – modelling risk attitude". e-Finanse 13, nr 4 (1.12.2017): 97–109. http://dx.doi.org/10.1515/fiqf-2016-0039.
Pełny tekst źródłaMuhammad, Muhammad, Driana Leniwati, Agung Muhammadiyah Prasetyo N.W, Ahmad Juanda, Endang Dwi Wahyuni i Setu Setyawan. "Pengaruh Attitude Subjective Norms, dan Perceived Behavioural Control Terhadap Minat Investor Berinvestasi Cryptocurrency". Jurnal Akuntansi dan Keuangan 11, nr 1 (1.03.2023): 47. http://dx.doi.org/10.29103/jak.v11i1.8372.
Pełny tekst źródłaMantell, Edmund H. "The Effect of Risk-Aversion on the Portfolio Allocation between Taxable Bonds and Non-Taxable Bonds of the Same Risk". American Economist 41, nr 2 (październik 1997): 47–53. http://dx.doi.org/10.1177/056943459704100206.
Pełny tekst źródłaMao, Weifang, Huiming Zhu, Hao Wu, Zhongqingyang Zhang i Jin Chen. "The Influence of Equity Market Sentiment on Credit Default Swap Markets: Evidence from Wavelet Quantile Regression". Complexity 2023 (16.08.2023): 1–21. http://dx.doi.org/10.1155/2023/3475079.
Pełny tekst źródłaGeethu Krishna, P. G. "A Study on Women’s Attitude and Perception towards Investment in Equity Shares". Recent trends in Management and Commerce 3, nr 1 (1.03.2022): 34–39. http://dx.doi.org/10.46632/rmc/3/1/6.
Pełny tekst źródłaNugraheni, Titin, i Arya Samudra Mahardhika. "Analisis Minat Penggunaan Aplikasi Investasi Digital pada Investor Milenial Melalui Pendekatan Theory of Planned Behavior". Jurnal Ilmiah Manajemen Kesatuan 11, nr 2 (23.06.2023): 213–22. http://dx.doi.org/10.37641/jimkes.v11i2.1767.
Pełny tekst źródłaYu, Xiao. "The Relationship Between Prosocial Preference and Household Risk Financial Asset Allocation". Advances in Economics, Management and Political Sciences 8, nr 1 (13.09.2023): 341–48. http://dx.doi.org/10.54254/2754-1169/8/20230339.
Pełny tekst źródłaPyo, Sangjae, Hyoung-Ryul Ma, Sumi Na i Dong-Hoon Oh. "The Crowdfunding Model, Collective Intelligence, and Open Innovation". Journal of Open Innovation: Technology, Market, and Complexity 7, nr 3 (2.09.2021): 196. http://dx.doi.org/10.3390/joitmc7030196.
Pełny tekst źródłaNoorul Shajar, Syed, i Mazhar Iqbal. "INVESTOR ATTITUDE TOWARDS INDIAN FIN-TECH COMPANIES USING ANALYTICAL HIERARCHY PROCESS (AHP)". International Journal of Advanced Research 8, nr 9 (30.09.2020): 439–43. http://dx.doi.org/10.21474/ijar01/11677.
Pełny tekst źródłaGautam, C., R. Wadhwa i T. V. Raman. "Examining Behavioural Aspects of Financial Decision Making: The Working Women Perspective". Finance: Theory and Practice 26, nr 6 (31.12.2022): 288–301. http://dx.doi.org/10.26794/2587-5671-2022-26-6-288-301.
Pełny tekst źródłaBudiman, Johny, i Jofen Cenedi Jongestu. "ANALISIS DAMPAK PERILAKU KEUANGAN DAN LITERASI KEUANGAN TERHADAP KEPUTUSAN INVESTASI SAHAM PERUSAHAAN DI BURSA EFEK INDONESIA". Jurnal Darma Agung 31, nr 3 (28.06.2023): 211. http://dx.doi.org/10.46930/ojsuda.v31i3.3429.
Pełny tekst źródłaGanapathi, R., i Varsha Madhavan. "A Study on Investment Behaviour and Attitude of Women Investors of Bangalore, Karnataka". Asian Journal of Managerial Science 10, nr 1 (15.05.2021): 44–49. http://dx.doi.org/10.51983/ajms-2021.10.1.2818.
Pełny tekst źródłaNurhaida, Dida, Farida Jasfar, Rifki Ismal i Acep Riana Jayaprawira. "Investigating Institutional Investors' Behaviours toward Cash Waqf Linked Sukuk (CWLS) using DTPB". International Journal of Islamic Economics and Finance (IJIEF) 6, nr 2 (31.07.2023): 247–80. http://dx.doi.org/10.18196/ijief.v6i2.16950.
Pełny tekst źródłaBaruah, Mitali, i Abhishek Kirit kumar Parikh. "Impact of Risk Tolerance and Demographic Factors on Financial Investment Decision". GIS Business 13, nr 5 (12.10.2018): 31–40. http://dx.doi.org/10.26643/gis.v13i5.3270.
Pełny tekst źródłaYandra, Fachmi Pachlevi, i Dwi Marlina Wijayanti. "Do Social & Psychological Factors Affect Investment Intention in Islamic Capital Markets?" EkBis: Jurnal Ekonomi dan Bisnis 6, nr 1 (2.07.2022): 01–15. http://dx.doi.org/10.14421/ekbis.2022.6.1.1484.
Pełny tekst źródłaGupta, Chabi. "Knowledge or Personality". International Journal of Cyber Behavior, Psychology and Learning 12, nr 1 (1.01.2022): 1–10. http://dx.doi.org/10.4018/ijcbpl.306184.
Pełny tekst źródłaZhou, Guofu, i Yingzi Zhu. "Volatility Trading: What Is the Role of the Long-Run Volatility Component?" Journal of Financial and Quantitative Analysis 47, nr 2 (20.01.2012): 273–307. http://dx.doi.org/10.1017/s0022109012000105.
Pełny tekst źródłaWiśniewska, Marta. "THE IMPACT OF THE CORONAVIRUS (COVID-19) PANDEMIC ON INVESTORS’ BEHAVIOUR IN THE LIGHT OF BEHAVIOURAL FINANCE". Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, nr 27(76) (30.06.2022): 111–22. http://dx.doi.org/10.22630/pefim.2022.27.76.10.
Pełny tekst źródłaSlamet, Kuwat, Riestianty Riestianty i Budiyono Budiyono. "Intention Of Muslim And Non-Muslim Indonesian Investors In Investing In Retail Sukuk". Jurnal Pajak dan Keuangan Negara (PKN) 4, nr 2 (1.02.2023): 468–82. http://dx.doi.org/10.31092/jpkn.v4i2.1816.
Pełny tekst źródłaAmbreen, Sadaf, Laiba Khalid i Aniqa Zubair. "Individual Investors' Financial Behaviour and Financial Attitude: Role of Financial Literacy as Moderator in Decision Making". Global Economics Review VI, nr I (30.03.2021): 200–213. http://dx.doi.org/10.31703/ger.2021(vi-i).15.
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