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Prerequisites
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Language of Instruction
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Turkish
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Responsible
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Assoc. Prof. Bilgehan TEKİN
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Instructors
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Assistants
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Resources
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R1: Kıyılar, M., & Akkaya, M. (2020), Davranışsal Finans. Literatür Yayınları, İstanbul.
R2: Barak, O. (2008). Davranışsal Finans Teori ve Uygulama. Gazi Kitabevi, Ankara.
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Supplementary Book
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SR1: Baker, H. K., & Nofsinger, J. R. (Eds.). (2010). Behavioral finance: investors, corporations, and markets. John Wiley & Sons, USA.
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Goals
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The aim of this course is to understand the development and foundations of behavioral finance and to give information about the causes of anomalies in financial asset prices and the psychological factors that affect the financial decisions of investors.
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Content
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General information about the course, Principles of Behavioral Finance, Effective Market Hypothesis, Behavioral Finance Models, Expected Utility and Prospect Theories, Psychological Biases that Affect Financial Decisions, Behavioral Biases-1, Behavioral Biases-2, Market Anomalies-1, Market Anomalies-2, Market Anomalies-3, Affective Factors in Decision Making, Investor Psychology and Sensitivity-1, Investor Psychology and Sensitivity-2
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