Week - 1 |
Basics of Behavioral finance |
Week - 2 |
Efficient market hypothesis |
Week - 3 |
Expected benefits model |
Week - 4 |
The capital asset pricing model |
Week - 5 |
Price anomalies |
Week - 6 |
Investor Profiles |
Week - 7 |
Herding behavioral |
Week - 8 |
Investor psychology |
Week - 9 |
Overconfidence hypothesis |
Week - 10 |
The effect of gender in financial risk detection |
Week - 11 |
Optimize hypothesis |
Week - 12 |
Kahneman&Tversky; |
Week - 13 |
Loss aversion |
Week - 14 |
Representativeness |