Table 6

Posterior summary of coefficients

CoefficientP(incl)P(incl|data)BFinclusionMeanSD95% credible interval
LowerUpper
Intercept1.0001.0001.0003.7030.0793.5553.854
 0.5000.2290.2970.074−0.1960.193
Stockmktawareness   3.201 × 10−4   
skills&expertiseininvesting0.5000.3890.6380.0880.175−0.0960.568
analyzenewinfoaptly0.5000.2500.333−0.0170.100−0.2900.168
beststocksinportfolio0.5000.7573.1220.2420.1800.0000.535
tradebymyself0.5000.6902.2240.1550.1320.0000.366
prioritytoownopinion0.5000.2280.2960.0070.050−0.0910.166

Note(s): Intercept: Baseline inclination towards Socially Responsible Investment (SRI)decisions, P(incl): Probability of inclusion in the model. P(incl|data): Probability of inclusion given the data

BFinclusion: Bayesian factor for inclusion

Mean: Mean value of the coefficient

SD: Standard Deviation of the coefficient

95% Credible Interval: The range within which the true value of the coefficient is likely to fall with 95% confidence

Source(s): Table by authors

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