Dr. Richard Deaves, PhD
INTRODUCTION: BEHAVIOR
CHAPTER 1. ECONOMICS
CHAPTER 2. PSYCHOLOGY
CHAPTER 3. TIME
CHAPTER 4. RISK
CHAPTER 5. LOSS
CHAPTER 6. PLANNERS
CHAPTER 7. SAVERS
CHAPTER 8. ALLOCATORS
CHAPTER 9. RISK TAKERS
CHAPTER 10. HEDGERS
CHAPTER 11. DEBTORS
CHAPTER 12.
INVESTORS
CHAPTER 13. PERFORMERS
CHAPTER 14. DELEGATORS
CHAPTER 15. FOLLOWERS
CHAPTER 16. CONCLUSION: LESSONS LEARNED
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Richard Deaves is professor emeritus of Finance at the DeGroote School of Business, McMaster University, Hamilton, Canada. Elsewhere, he has addressed groups of students and executives at various universities in Canada, the U.S., South America, Europe and the Far East. His research has been
published extensively, appearing in such prestigious journals as the Journal of Financial and Quantitative Analysis, the Review of Finance, the Journal of Monetary Economics and the Journal of Banking and Finance. Most of his recent research deals with
issues in household, behavioral and
experimental finance. He has also published on such issues as the performance of investment funds; market efficiency; modeling interest rates; and pricing, efficiency and hedging in futures markets. His consulting experience has spanned such topics as investor behavior; pension design; hedging in
the energy industry; the predictability of interest rates; real options and capital budgeting; and security valuation. He has served as an expert in numerous regulatory and legal proceedings. His work has been profiled in such international media outlets as CNN, Newsweek and Der Spiegel. He has also
been affiliated with the Centre for European Economic Research (ZEW) in Mannheim, Germany.
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