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Hersh Shefrin
Hersh Shefrin
Professor of Finance, Santa Clara University
Verified email at scu.edu - Homepage
Title
Cited by
Cited by
Year
The disposition to sell winners too early and ride losers too long: Theory and evidence
H Shefrin, M Statman
The Journal of finance 40 (3), 777-790, 1985
59851985
An economic theory of self-control
RH Thaler, HM Shefrin
Journal of political Economy 89 (2), 392-406, 1981
44761981
Beyond greed and fear: Understanding behavioral finance and the psychology of investing
H Shefrin
Oxford University Press, 2002
33952002
The behavioral life‐cycle hypothesis
HM Shefrin, RH Thaler
Economic inquiry 26 (4), 609-643, 1988
26901988
Behavioral portfolio theory
H Shefrin, M Statman
Journal of financial and quantitative analysis 35 (2), 127-151, 2000
21482000
Behavioral corporate finance
H Shefrin
Journal of applied corporate finance 14 (3), 113-126, 2001
13252001
Explaining investor preference for cash dividends
HM Shefrin, M Statman
Journal of financial economics 13 (2), 253-282, 1984
12571984
A behavioral approach to asset pricing
H Shefrin
Elsevier, 2008
9912008
Behavioral capital asset pricing theory
H Shefrin, M Statman
Journal of financial and quantitative analysis 29 (3), 323-349, 1994
9901994
Behavioral finance: Quo vadis?
WFM De Bondt, YG Muradoglu, H Shefrin, SK Staikouras
Journal of Applied Finance (Formerly Financial Practice and Education) 18 (2), 2008
4542008
Behavioralizing finance
H Shefrin
Foundations and Trends® in Finance 4 (1-2), 1-184, 2010
3432010
Making sense of beta, size, and book-to-market
H Shefrin, M Statman
Journal of Portfolio Management 21 (2), 26, 1995
2661995
Behavioral aspects of the design and marketing of financial products
H Shefrin, M Statman
Financial Management, 123-134, 1993
2551993
Mental Accounting, Saving
HM Shefrin, H THALER
Choice over time, 287, 1992
2241992
Do investors expect higher returns from safer stocks than from riskier stocks?
H Shefrin
The Journal of Psychology and Financial Markets 2 (4), 176-181, 2001
2082001
Technical analysis and individual investors
AOI Hoffmann, H Shefrin
Journal of Economic Behavior & Organization 107, 487-511, 2014
1552014
The multinomial option pricing model and its Brownian and Poisson limits
DB Madan, F Milne, H Shefrin
The Review of Financial Studies 2 (2), 251-265, 1989
1321989
Reflections on “How psychological pitfalls generated the global financial crisis”
H Shefrin
The Routledge companion to strategic risk management, 267-295, 2015
1292015
Ethics, fairness and efficiency in financial markets
H Shefrin, M Statman
Financial Analysts Journal 49 (6), 21-29, 1993
1171993
Behavioral finance in the financial crisis: market efficiency, Minsky, and Keynes
H Shefrin, M Statman
Santa Clara University, November, 2011
1152011
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Articles 1–20