Quantitative behavioral finance
Quantitative behavioral finance is a new discipline that uses mathematical and statistical methodology to understand behavioral biases in conjunction with valuation.
The research can be grouped into the following areas:
- Empirical studies that demonstrate significant deviations from classical theories.
- Modeling using the concepts of behavioral effects together with the non-classical assumption of the finiteness of assets.
- Forecasting based on these methods.
- Studies of experimental asset markets and use of models to forecast experiments.
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