The Modern risk management in behavioral finance perspective theory  

Journal Title: Zarządzanie i Finanse - Year 2013, Vol 11, Issue 1

Abstract

The Risk management remains in close correlation with the behavioral as-pects. The Proper of risk management - based on the theory of behavioral finance – will contribute to this, that a rational investor will make the right choice preferences and estimate the minimal level of the risk and receive the greatest rate of return. The analysis of specific proposals arise for the investors. In their investment decisions will be must issues of behavioral finance.  

Authors and Affiliations

Jacek Pera

Keywords

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  • EP ID EP94110
  • DOI -
  • Views 68
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How To Cite

Jacek Pera (2013). The Modern risk management in behavioral finance perspective theory  . Zarządzanie i Finanse, 11(1), 407-422. https://europub.co.uk/articles/-A-94110