Review of Behavioral Finance
About
The 310 papers published in Review of Behavioral Finance in the last decades have received a total of 2.6k indexed citations.
Papers published in Review of Behavioral Finance usually cover Finance (216 papers), Economics and Econometrics (188 papers) and Accounting (161 papers) specifically the topics of Financial Markets and Investment Strategies (201 papers), Market Dynamics and Volatility (73 papers) and Corporate Finance and Governance (72 papers). The most active scholars publishing in Review of Behavioral Finance are Spyros I. Spyrou, Darren Duxbury, Subhankar Nayak, Ratna Achuta Paluri, Lee A. Smales, Sanjay Gupta, Madhumita Chakraborty, Yaz Gülnür Muradoğlu, Sowmya Subramaniam and Jinesh Jain.
In The Last Decade
Fields of papers published in Review of Behavioral Finance
Since SpecializationEngineeringComputer SciencePhysics and AstronomyMathematicsEarth and Planetary SciencesEnergyEnvironmental ScienceMaterials ScienceChemical EngineeringChemistryAgricultural and Biological SciencesVeterinaryDecision SciencesArts and HumanitiesBusiness, Management and AccountingSocial SciencesPsychologyEconomics, Econometrics and FinanceHealth ProfessionsDentistryMedicineBiochemistry, Genetics and Molecular BiologyNeuroscienceNursingImmunology and MicrobiologyPharmacology, Toxicology and Pharmaceutics
This network shows the specialization of papers published in Review of Behavioral Finance. Nodes represent fields, and links connect fields that are likely to share authors.
Countries where authors publish in Review of Behavioral Finance
Since SpecializationTotal citations of papers
This map shows the geographic distribution of research published in Review of Behavioral Finance. It shows the number of citations received by papers published by authors working in each country. You can also color the map by specialization and compare the number of papers published in Review of Behavioral Finance with the expected number of papers based on a country's size and research output (numbers larger than one mean the country's share of papers is larger than expected).
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