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Behavioral Finance Research in 2020: Cui Bono et Quo Vadis?
2021
ACRN Journal of Finance and Risk Perspectives
Emanating from the influential survey of Barberis and Thaler (2003), this systematic literature review examines the significant volume of studies on behavioral finance from 36 reputable finance journals published be-tween 2009 and 2019. The findings are clustered into eight prominent research streams, which indicate the current developments in behavioral finance. Findings show that research intensively focuses on behavioral biases and their influence on economic phenomena. Driven by the impetus
doi:10.35944/jofrp.2021.10.1.004
fatcat:qvkncopfurhkvgolgez5m3cofy