Behavioural Finance 2010
30 Pavilion Road, London SW1 - 6 December 2010
| Presentations for download | |
| BEHAVIOURAL FACTORS AS PART OF A NEW APPROACH TO RISK MANAGEMENT Nick Bullman, CheckRisk LLP |
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| IDENTIFYING AND DIFFERENTIATING INVESTOR BIASES FROM PREFERENCES Daniel Egan, Barclays Wealth |
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| EMOTIONAL FINANCE AND ITS IMPACT ON INVESTMENT DECISION MAKING Richard Fairchild, University of Bath |
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| BEHAVIOURAL FINANCE AND TRADING PSYCHOLOGY Steve Ward, High Performance Trading |
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| USING TRADING DATA TO IDENTIFY AND QUANTIFY BEHAVIOURAL BIASES: EXAMINING THE IMPACT FROM THESE BIASES ON TRADING PERFORMANCE AND SUGGESTED METHODS TO REDUCE IT. Peter Harnett, TradeEQ |
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| HOW TO IMPROVE INVESTMENT DECISIONS IN FUND MANAGEMENT USING BF Gulnur Muradoglu, Cass Business School |
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