KHO THƯ VIỆN 🔎

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

➤  Gửi thông báo lỗi    ⚠️ Báo cáo tài liệu vi phạm

Loại tài liệu:     PDF
Số trang:         110 Trang
Tài liệu:           ✅  ĐÃ ĐƯỢC PHÊ DUYỆT
 













Nội dung chi tiết: Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

Behavioural Finance - Risk attitudes in the aftermath of the Economic CrisisRonan MacDonellStudent Number 1952330Submitted in partial fulfilment of a

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis Masters in International Banking and Finance, Liverpool John Moores University. (Course Code: B9AC028)Dublin Business School41852Page 11Declaration:I

declare that all the work in this dissertation is entirely my own unless the words have been placed in inverted commas and referenced with the origin Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

al source. Furthermore, texts cited are referenced as such, and placed in the reference section. A full reference section is included within this thes

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

is.No part of this work has been previously submitted for assessment, in any form, either at Dublin Business School or any other institution.Signed:..

Behavioural Finance - Risk attitudes in the aftermath of the Economic CrisisRonan MacDonellStudent Number 1952330Submitted in partial fulfilment of a

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis ......... 4Abstract......................................................................... 6Chapter 1: Introduction.................................

.............Chapter 2: Literature review......................................... 11Chapter 3: Methodology........................................... Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

............... 323.1Research approach to examination of Risk Market............................ 333.1.1Research philosophy and design................

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

............................ 343.1.2Research strategy and materials........................................... 353.2Ethical issues and procedure......

Behavioural Finance - Risk attitudes in the aftermath of the Economic CrisisRonan MacDonellStudent Number 1952330Submitted in partial fulfilment of a

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis g and coding........................................ 38Chapter 4: Research findings................................................... 40Chapter 5: Co

nclusions and Further Research.................................... 55Chapter 6: Recommendations and future intentions............................... 6 Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

1Chapter 7: Self-reflection on own learning and performance..................... 66Chapter 8: References..............................................

Behavioural Finance – Risk attitudes in the aftermath of the Economic Crisis

............ 72Chapter 9: Appendices.......................................................... 78Appendix 1 (Research Questionnaire)..................

Behavioural Finance - Risk attitudes in the aftermath of the Economic CrisisRonan MacDonellStudent Number 1952330Submitted in partial fulfilment of a

Behavioural Finance - Risk attitudes in the aftermath of the Economic CrisisRonan MacDonellStudent Number 1952330Submitted in partial fulfilment of a

Gọi ngay
Chat zalo
Facebook