Journal of Behavioral and Experimental Finance

Papers
(The median citation count of Journal of Behavioral and Experimental Finance is 2. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2021-04-01 to 2025-04-01.)
ArticleCitations
Irrational exuberance and deception — Why markets spin out of control390
Risk-taking for others: An experiment on the role of moral discussion197
Elicitation of risk preferences through satisficing108
Collectors: Personality between consumption and investment102
Benefits of consistent and comprehensive financial advice during the Great Recession100
Trading fast and slow: The role of deliberation in experimental financial markets89
Beta, value, and growth: Do dichotomous risk-preferences explain stock returns?78
Editorial Board51
Editorial Board51
Why walk away from an easy gain in wealth? Evidence from a UK stock option plan50
Applying Behavioral Economics to microcredit in China’s rural areas47
Financial incentives for delaying the public pension claiming age44
To compete or cooperate: The application of system dynamics simulation on the choice of Chinese banks43
Editorial Board42
Stock price reaction to appointment of a chief health officer during COVID-1941
Do actions speak louder than words? Evidence from microblogs41
Collusive vs. coercively corrupt tax auditors and their impact on tax compliance41
A classical model of speculative asset price dynamics41
Do multiple competing offerings on a crowdfunding platform influence investment behavior?41
Leadership in a pandemic: Do more able managers keep firms out of trouble?40
Expectation formation in finance and macroeconomics: A review of new experimental evidence40
Is institutional herding efficient? Evidence from an investment efficiency and informational network perspective37
How does CEOs’ early-life experience of China’s Great Famine impact corporate green innovation?34
Skill, effort, luck: Determinants of rank-based endowments and risk-taking in a social setting32
Literature review of experimental asset markets with insiders32
Stock market reactions under the shadow of the COVID-19 pandemic: Evidence from China31
Do external labor market incentives improve labor investment efficiency?31
Reinforcement learning about asset variability and correlation in repeated portfolio decisions30
Which ESG+F dimension matters most to retail investors? An experimental study on financial decisions and future generations30
Judging a book by its cover: Fund investors’ physical attractiveness stereotypes and investor behavior28
Investigation of the convex time budget experiment by parameter recovery simulation28
Financial Education or Incentivizing Learning-By-Doing? Evidence from an RCT with Undergraduate Students28
A new hybrid machine learning model for predicting the bitcoin (BTC-USD) price25
Real-life investors’ memory recall bias: A lab-in-the-field experiment24
The psychological and economic roles of culture on global underpricing difference: A new hierarchical evidence24
Retail investor risk-seeking, attention, and the January effect22
Sports Mood Index, institutional investors, and earnings announcement anomalies20
Optimal stopping decisions and the disposition effect20
Investor sentiment in the tourism stock market20
Association between investment risk tolerance and portfolio risk: The role of confidence level19
Management connection and firm performance: Evidence from Global Financial Crisis19
National air pollution and the cross-section of stock returns in China19
Reducing algorithm aversion through experience18
Editorial Board18
Human bias in AI models? Anchoring effects and mitigation strategies in large language models18
Erratum regarding missing Declaration of Competing Interest statements in previously published articles18
Investor horizon, experience, and the disposition effect17
Employee satisfaction and stock returns during the COVID-19 Pandemic16
Lockdown and retail trading in the equity market16
What determines Manager and Investor Sentiment?16
Corporate social responsibility reporting in family firms: Evidence from China15
Loss of financial well-being in the COVID-19 pandemic: Does job stability make a difference?15
COVID-19 pandemic and herd behavior: Evidence from a frontier market15
Fintech development, firm digitalization, and bank loan pricing15
Lottery demand, weather and the cross-section of stock returns15
CEO centrality and stock price crash risk14
Corporate sexual orientation equality policies and the cost of equity capital14
A systematic literature review of investor behavior in the cryptocurrency markets14
Stakeholder orientation and cost stickiness13
Chief Executive Officer power and Corporate Sexual Orientation Equality13
The downside of moralizing financial markets: Anti-Semitic stereotypes in German MTurkers13
Social capital and the riskiness of trade credit13
CEO-director ties and board gender diversity: US evidence13
FinTech payments in the era of COVID-19: Factors influencing behavioral intentions of “Generation X” in Hungary to use mobile payment13
Editorial Board12
Genetic distance and stock market integration12
Central bank transparency and market reaction in Brazil, Chile, and Colombia12
Dynamics of momentum in financial markets based on the information diffusion in complex social networks12
Stop-loss rules and momentum payoffs in cryptocurrencies12
Editorial Board11
Do gender, age and education affect herding in the real estate market?11
Do algorithmic traders exploit volatility?11
Editorial Board10
Does gender moderate the influence of emotions on risk-taking? The meta-analysis reloaded10
Do credit supply shocks affect fertility choices?10
Editorial Board10
Decoding bias: Gendered language in finance internship job postings10
Profit-based credit models with lender’s attitude towards risk and loss10
Encouraging recalibration of student loans in the Netherlands: The impact of information about future costs and the ease of adjustment10
Buy now, pay later (BNPL) ...on your credit card10
Momentum in real economy and industry stock returns9
Nonspeculative bubbles revisited9
The Luckin Coffee scandal and short selling attacks9
Eye-tracking for the study of financial decision-making: A systematic review of the literature9
Extreme spillovers between insurance tokens and insurance stocks: Evidence from the quantile connectedness approach9
Higher order risk attitudes of financial experts9
Translation of International Financial Reporting Standards and implications for judgments and decision-making9
Changes in social behavior and impacts of the COVID-19 pandemic on regional housing markets: Independence and risk9
Abnormal volatility in seasoned equity offerings during economic disruptions9
Nudging against panic selling: Making use of the IKEA effect9
Short sales restrictions and market quality: Evidence from Korea9
The impact of information provision to parents: Experimental evidence on student outcomes9
Experiments in finance: A survey of historical trends8
Managerial optimism and corporate investment behavior8
When to use tournament incentives? Evidence from an investment experiment8
Immigration narrative sentiment from TV news and the stock market8
Do people gamble or invest in the cryptocurrency market? Transactional-level evidence from Thailand7
Impression management of biodiversity reporting in the energy and utilities sectors: An assessment of transparency in the disclosure of negative events7
Loss aversion and focal point bias: Empirical evidence from housing markets7
The impact of financial literacy on the quality of self-reported financial information7
Are banks risk-averse or risk-neutral investors?7
Intraday herding and attention around the clock7
Sustainable risk preferences on asset allocation: a higher order optimal portfolio study7
Point shaving? A novel experiment and new insights7
Do sustainably managed pension savings foster sustainable investments? Evidence from a field experiment7
Complexity in insurance selection: Cross-classified multilevel analysis of experimental data7
Sanpo-yoshi, top management personal values, and ESG performance7
Revisiting financial fragility during the COVID-19 pandemic: Evidence from Taiwan7
Analysts’ forecast optimism: The effects of managers’ incentives on analysts’ forecasts7
Retail attention on earnings announcement days: Evidence from social media6
Survey-based measures of risk attitudes and portfolio risk: Evidence from pension participants6
Defaults, disclosures, advice and calculators: One size does not fit all6
Preemptive signaling and the emergence of trust in entrepreneurial investments6
Sensitivity of Chinese stock markets to individual investor sentiment: An analysis of Sina Weibo mood related to COVID-196
Evaluating SoJump.com as a tool for online behavioral research in China6
Information aggregation with heterogeneous traders6
The Ramadan effect: A standalone anomaly or just a compensation for low liquidity?6
Google search and cross-section of cryptocurrency returns and trading activities6
Board gender diversity reforms and corporate social responsibility: International evidence6
A model of trust in Fintech and trust in Insurtech: How Artificial Intelligence and the context influence it6
Portfolio framing and diversification in a disposition effect experiment6
Income volatility and saving decisions: Experimental evidence6
Reconciling sustainability preferences and behavior — The case of mutual fund investments6
The role of job titles in online peer-to-peer lending: An empirical investigation on skilled borrowers6
Institutional/retail investor active attention and behavior: Firm coverage on Mad Money6
Erratum regarding missing Declaration of Competing Interest statements in previously published articles6
Complex non-linear relationship between conventional and green bonds: Insights amidst COVID-19 and the RU–UA conflict5
Predictability of crypto returns: The impact of trading behavior5
Extrapolative beliefs and return predictability: Evidence from China5
Zurich Trading Simulator (ZTS) — A dynamic trading experimental tool for oTree5
A tale of company fundamentals vs sentiment driven pricing: The case of GameStop5
Chairman age and corporate diversification: The cases of old and powerful captains in Chinese firms5
Happiness and IPO performance5
What makes depression babies different: Expectations or preferences?5
Emotional spillovers in the cryptocurrency market5
Nonlinear nexus between cryptocurrency returns and COVID-19 news sentiment5
Environmental spillovers and local agglomeration: Evidence from large plant openings5
The influence of behavioral factors on SMES’ owners intention to adopt private finance5
Bond intraday momentum4
Financial Freedom Perception Scale (FFPS): Construction and validation4
Killing in the stock market: Evidence from organ donations4
CEO generational differences, risk taking and political connections: Evidence from Malaysian firms4
What explains voluntary premarket underpricing and aftermarket mispricing in Indian IPOs?4
Editorial Board4
Cross-sectional association of financial anxiety, medical conditions and preferences for financial interventions4
SaveWise: The impact of a real-life financial education program for ninth grade students in the Netherlands4
Payment methods and the disposition effect: Evidence from Indonesian mutual fund trading4
Financial Homo Ignorans: Development and validation of a scale to measure individual differences in financial information ignorance4
Unsupervised machine learning to reveal South African risk behaviour archetypes in the domain of discretionary investment decisions4
The confusion of taste and consumption: Evidence from a stated-choice experiment4
Ballot order effects in independent director elections4
Media coverage and patent trolls: A study on US high-tech firms4
Corporate social responsibility, intrinsic religiosity, and investment decisions4
Foreign-language effect and professionals’ judgments on fair value measurement: Evidence from Germany and the United Kingdom4
Stock liquidity and societal trust4
Socially responsible local firms and stock market participation: Evidence from the U.S. household survey4
Early-life epidemic experience and CSR4
Using comics to improve financial behaviour4
Frenzied buyers and sophisticated sellers: How short sellers trade individual investors’ most purchased stocks4
Editorial Board4
Implication of stigmatization on investors financial risk tolerance: The case of gay men4
Erratum regarding missing Declaration of Competing Interest statements in previously published articles3
Local religious beliefs and bank risk-taking3
No rose without a thorn: Corporate teamwork culture and financial statement misconduct3
Noise trader clusters and market efficiency3
Revisiting the determinants of individual sustainable investment—The case of Japan3
Drivers of financial well-being in socio-economic deprived populations3
Extreme local temperatures lower expressed sentiment about U.S. economic conditions with implications for the stock returns of local firms3
Director age and corporate innovation: Evidence from textual analysis3
Tournament-type utility, absolute cumulative intra-quarter return, institutional feedback trading and return autocorrelation3
Corporate complexity, managerial myopia, and hostile takeover exposure: Evidence from textual analysis3
Religion and household saving behavior3
Does every cloud (bubble) have a silver lining? An investigation of ESG financial markets3
Trading restrictions and investor reaction to non-gains, non-losses, and the fear of missing out: Experimental evidence3
Can stock message board sentiment predict future returns? Local versus nonlocal posts3
Editorial Board3
Managerial optimism, investment cash flow sensitivity and agency costs: Evidence from NYSE panel data firms3
Puzzles of insurance demand and its biases: A survey on the role of behavioural biases and financial literacy on insurance demand3
A good name is better than riches: Family firms and working capital management3
The old guard: CEO age and corporate litigation3
Managerial myopia and corporate social responsibility:Evidence from the textual analysis of Chinese earnings communication conferences3
Gender vs. personality: The role of masculinity in explaining cognitive style3
Erratum regarding missing Declaration of Competing Interest statements in previously published articles3
Editorial Board3
How important is trust in driving financial inclusion?3
How does investment efficiency affect financial distress risk? Evidence from China3
CEO and CFO conscientiousness and working capital management during global financial crisis3
Herding behaviour and price convergence clubs in cryptocurrencies during bull and bear markets3
Behavioral biases in the NFL gambling market: Overreaction to news and the recency bias3
Targeting behavior and capital structure theories: An empirical analysis of gulf cooperation council countries3
Examining psychological barriers in exchange rates across various regimes and FX intervention3
Journal of Behavioral and Experimental Finance: A bibliometric overview3
The power of play in microfinance: Examining the effect of gamification on customer relationship management performance3
Risk is in the eye of the investor: Cryptocurrency investors’ engagement with risk, regulatory advice, and regulatory institutions2
Risk misperceptions of structured financial products with worst-of payout characteristics revisited2
The impact of the disclosure characteristics of the application material on the successful listing of companies on China’s Science and Technology Innovation Board2
Related-party transactions and CEO foreign experience: Evidence from China2
Editorial Board2
A z-Tree implementation of the Dynamic Experiments for Estimating Preferences [DEEP] method2
Banks’ loan charge-offs and macro-level risk2
What is the size of credit card debt in Brazil? Reporting Thresholds, Interest Rates and Income Distribution2
Lost in translation. When sentiment metrics for one market are derived from two different languages2
Home bias and the returns of strategic portfolios: Neither always so good nor so bad2
Is beauty skin deep?2
A flexible estimation of sectoral portfolio exposure to climate transition risks in the European stock market2
CEO-friendly boards and seasoned equity offerings2
Company name fluency and stock returns2
A framework for analyst economic incentives and cognitive biases: Origination of the walk-down in earnings forecasts2
Does employee stock ownership program reduce a company’s stock volatility during the Covid-19 lockdown?2
Relationship and mutual influence between poverty and insurance in a developing insurance market2
Brazilian investors' susceptibility to interpersonal influence: Impacts on risk tolerance and the disposition effect2
Voluntary insurance vs. stabilization funds: An experimental analysis on bank runs2
Long-run expectations of households2
Mobility restrictions and payment choices: The case of the Covid-19 pandemic2
Coordination failure in experimental banks of different sizes2
The beta anomaly and the quality effect in international stock markets2
Experiences, demand for risky investments, and implications for price dynamics2
Do global equity mutual funds exhibit home bias?2
0.060398101806641