Review of Behavioral Finance (RBF)
Journal Descriptions
Review of Behavioral Finance covers not only theoretical and empirical approaches to financial decision making, but also the way the behavioral attributes of the decision makers influence the financial structure of a company, investors’ portfolio, and the functioning of financial markets. Review of Behavioral Finance (RBF) welcomes high-quality empirical, experimental and theoretical research articles from the finance field as well as finance applications from psychology, sociology and decision sciences disciplines and is open to a wide spectrum of methodologies including those from finance, market accounting, economics, psychology, sociology and maths. The journal’s coverage includes but is not limited to: Investment behaviour of individual and institutional investors Financial decision processes of listed or unlisted firms Risk measurement and asset pricing Trading strategies in financial (spot/derivative) markets The behaviour of financial markets Behavioral corporate finance Behavioral issues relating to market accounting Mutual and hedge funds Influence of financial regulation on behavior Behavioral approaches to household financial decision-making
Review of Behavioral Finance (RBF) is :-
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International, Peer-Reviewed, Open Access, Refereed, Behavioral Finance, Financial Decision Making, Investment Behavior, Corporate Finance, Financial Markets, Risk Management, Economics, Psychology , Online or Print , Bi-Monthly Journal
- UGC Approved, ISSN Approved: P-ISSN P-ISSN: 1940-5979, E-ISSN: 1940-5987, Established: 2009, Impact Factor: 1.8
- Provides Crossref DOI
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Not indexed in Scopus, WoS, DOAJ, PubMed, UGC CARE