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Journal of Behavioral Finance, Volume 10 Issue 1 2009

ISSN: 1542-7579 (electronic) 1542-7560 (paper)
Publication Frequency: 4 issues per year
Publisher: Routledge
Previously published as: Journal of Psychology and Financial Markets (1520-8834) until 2003
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ARTICLES
Investing in the Unknown and the Unknowable—Behavioral Finance in Frontier Markets
Lawrence S. Speidell
Pages 1 – 8
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The Hedonic Editing Hypothesis: Evidence from the Finnish Stock Market
Mirjam Lehenkari
Pages 9 – 18
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Behavioral Capital Structure: Is the Neoclassical Paradigm Threatened? Evidence from the Field
Dimitrios Vasiliou; Nikolaos Daskalakis
Pages 19 – 32
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Attitudes to Economic Risk Taking, Sensation Seeking and Values of Business Students Specializing in Finance
Lennart Sjöberg; Elisabeth Engelberg
Pages 33 – 43
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Behavioral Finance Meets Experimental Macroeconomics: On the Determinants of Currency Trade Decisions
Johannes Kaiser; Sebastian Kube
Pages 44 – 54
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Illusion of Control as a Source of Poor Diversification: Experimental Evidence
Gerlinde Fellner
Pages 55 – 67
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