How do institutional investors approach disposition effect in crises
| Main Author: | |
|---|---|
| Publication Date: | 2021 |
| Format: | Master thesis |
| Language: | eng |
| Source: | Repositórios Científicos de Acesso Aberto de Portugal (RCAAP) |
| Download full: | http://hdl.handle.net/10362/133368 |
Summary: | This work project investigates how institutional investors cope with the disposition effect in crisis and non-crisis environments. Specifically, the internal and external idiosyncratic characteristics of institutional investors are used to find reasons for differences in the magnitudes of factors aggravating disposition effect. The study lays the foundation for easy-to-implement countermeasures against the disposition effect. This is achieved by consolidating countermeasures used by institutional investors in crisis and non-crisis environments into the self-developed SAFE(R) framework and by proposing action points for each investor group to overcome their specific obstacles that cause an increase in disposition effect. |
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How do institutional investors approach disposition effect in crisesDisposition effectInstitutional investorsBehavioural financeBehavioural biasesCrises environmentDomínio/Área Científica::Ciências Sociais::Economia e GestãoThis work project investigates how institutional investors cope with the disposition effect in crisis and non-crisis environments. Specifically, the internal and external idiosyncratic characteristics of institutional investors are used to find reasons for differences in the magnitudes of factors aggravating disposition effect. The study lays the foundation for easy-to-implement countermeasures against the disposition effect. This is achieved by consolidating countermeasures used by institutional investors in crisis and non-crisis environments into the self-developed SAFE(R) framework and by proposing action points for each investor group to overcome their specific obstacles that cause an increase in disposition effect.Silva, Álvaro FerreiraRUNHeimann, Valentina Iris Maria2022-02-22T14:43:39Z2021-06-292021-05-212021-06-29T00:00:00Zinfo:eu-repo/semantics/publishedVersioninfo:eu-repo/semantics/masterThesisapplication/pdfhttp://hdl.handle.net/10362/133368TID:202769860enginfo:eu-repo/semantics/openAccessreponame:Repositórios Científicos de Acesso Aberto de Portugal (RCAAP)instname:FCCN, serviços digitais da FCT – Fundação para a Ciência e a Tecnologiainstacron:RCAAP2024-05-22T17:59:41Zoai:run.unl.pt:10362/133368Portal AgregadorONGhttps://www.rcaap.pt/oai/openaireinfo@rcaap.ptopendoar:https://opendoar.ac.uk/repository/71602025-05-28T17:30:40.878061Repositórios Científicos de Acesso Aberto de Portugal (RCAAP) - FCCN, serviços digitais da FCT – Fundação para a Ciência e a Tecnologiafalse |
| dc.title.none.fl_str_mv |
How do institutional investors approach disposition effect in crises |
| title |
How do institutional investors approach disposition effect in crises |
| spellingShingle |
How do institutional investors approach disposition effect in crises Heimann, Valentina Iris Maria Disposition effect Institutional investors Behavioural finance Behavioural biases Crises environment Domínio/Área Científica::Ciências Sociais::Economia e Gestão |
| title_short |
How do institutional investors approach disposition effect in crises |
| title_full |
How do institutional investors approach disposition effect in crises |
| title_fullStr |
How do institutional investors approach disposition effect in crises |
| title_full_unstemmed |
How do institutional investors approach disposition effect in crises |
| title_sort |
How do institutional investors approach disposition effect in crises |
| author |
Heimann, Valentina Iris Maria |
| author_facet |
Heimann, Valentina Iris Maria |
| author_role |
author |
| dc.contributor.none.fl_str_mv |
Silva, Álvaro Ferreira RUN |
| dc.contributor.author.fl_str_mv |
Heimann, Valentina Iris Maria |
| dc.subject.por.fl_str_mv |
Disposition effect Institutional investors Behavioural finance Behavioural biases Crises environment Domínio/Área Científica::Ciências Sociais::Economia e Gestão |
| topic |
Disposition effect Institutional investors Behavioural finance Behavioural biases Crises environment Domínio/Área Científica::Ciências Sociais::Economia e Gestão |
| description |
This work project investigates how institutional investors cope with the disposition effect in crisis and non-crisis environments. Specifically, the internal and external idiosyncratic characteristics of institutional investors are used to find reasons for differences in the magnitudes of factors aggravating disposition effect. The study lays the foundation for easy-to-implement countermeasures against the disposition effect. This is achieved by consolidating countermeasures used by institutional investors in crisis and non-crisis environments into the self-developed SAFE(R) framework and by proposing action points for each investor group to overcome their specific obstacles that cause an increase in disposition effect. |
| publishDate |
2021 |
| dc.date.none.fl_str_mv |
2021-06-29 2021-05-21 2021-06-29T00:00:00Z 2022-02-22T14:43:39Z |
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info:eu-repo/semantics/publishedVersion |
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info:eu-repo/semantics/masterThesis |
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masterThesis |
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http://hdl.handle.net/10362/133368 TID:202769860 |
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