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