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1-4 of 4
Keywords: Financial risk tolerance
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Journal Articles
Influence of bull and bear market phase on financial risk tolerance of urban individual investors in an emerging economy
Available to Purchase
Journal:
Review of Behavioral Finance
Review of Behavioral Finance (2023) 15 (4): 570–591.
Published: 02 March 2022
... tolerance of investors in emerging economies for different age groups and with varying PWE. Design/methodology/approach The study uses two quantitative methods, one-way ANOVA and hierarchical regression model (HLM) to analyze individual investors' financial risk tolerance (FRT) in India. Findings...
Journal Articles
A test of the association between the initial surge in COVID-19 cases and subsequent changes in financial risk tolerance
Available to Purchase
Journal:
Review of Behavioral Finance
Review of Behavioral Finance (2021) 13 (1): 3–19.
Published: 24 August 2020
...Wookjae Heo; John E. Grable; Abed G. Rabbani Purpose The purpose of this paper is to provide an estimate of the degree to which financial risk tolerance changed in relation to the initial surge of COVID-19 cases in the US. Design/methodology/approach Data from a large sample of investors...
Journal Articles
Female workers' readiness for retirement planning: an evidence from Indonesia
Available to Purchase
Journal:
Review of Behavioral Finance
Review of Behavioral Finance (2021) 13 (5): 566–583.
Published: 03 August 2020
...Linda Evelina Larisa; Anastasia Njo; Serli Wijaya Purpose The purpose of this study is to examine the effects of demographical factors (age, education and income); psychological factors which are future time perspective (FTP) and financial risk tolerance (FRT); along with financial literacy...
Journal Articles
Propensity toward financial risk tolerance: an analysis using behavioural factors
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Journal:
Review of Behavioral Finance
Review of Behavioral Finance (2020) 12 (3): 259–281.
Published: 21 August 2019
...Mahfuzur Rahman Purpose The purpose of this paper is to investigate the influence of six core behavioural factors on financial risk tolerance (FRT). The study also analyses the role of religiosity in the relationship between behavioural factors and FRT. Design/methodology/approach Empirical...
