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Publisher: Routledge, part of the Taylor & Francis Group

Volume 13, Number 2, 1 April 2012

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A New Pseudo-Bayesian Model with Implications for Financial Anomalies and Investors’ Behavior
pp. 93-107(15)
Authors: Lam, Kin; Liu, Taisheng; Wong, Wing-Keung

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Understanding the Risk Anatomy of Experienced Mutual Fund Investors
pp. 119-125(7)
Authors: Walia, Nidhi; Kiran, Ravi

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Influencing Financial Behavior: From Changing Minds to Changing Contexts
pp. 126-142(17)
Authors: Dolan, Paul; Elliott, Antony; Metcalfe, Robert; Vlaev, Ivo

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Investors’ Exposure Rating and Stock Returns
pp. 143-146(4)
Author: Cohen, Gil

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Earnings Management, Managerial Optimism, and IPO Valuation
pp. 147-161(15)
Authors: Shu, Pei-Gi; Chiang, Sue-Jane; Lin, Hsin-Yu

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