Keywords: Risk premium
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Journal Articles
Review of Behavioral Finance (2015) 7 (1): 60–77.
Published: 08 June 2015
... market indicators like risk premium, market return and volatility using time series regression. Findings – The findings indicate that the Indian equity market has been predominantly pessimistic from the period 2006 to 2011. The interaction of this bias with market indicators also unveils some...

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