Behavioral Finance Lessons for Asset Managers

Volume: 44, Issue: 7, Pages: 135 - 147
Published: Jul 31, 2018
Abstract
Typical asset managers operate within standard finance, wherein investors are described as rational, or within the first generation of behavioral finance, wherein they are described as irrational. Asset managers do well, however, to operate within the second generation of behavioral finance, presented briefly here and in detail in the author’s book Finance for Normal People. That generation describes investors as...
Paper Details
Title
Behavioral Finance Lessons for Asset Managers
Published Date
Jul 31, 2018
Volume
44
Issue
7
Pages
135 - 147
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