Journal of Behavioral and Experimental Finance

Papers
(The median citation count of Journal of Behavioral and Experimental Finance is 3. 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 2021-11-01 to 2025-11-01.)
ArticleCitations
How does CEOs’ early-life experience of China’s Great Famine impact corporate green innovation?489
Girls will be girls? The gendered effect of financial overconfidence on credit card delinquency238
Assessing linkages between supply chain tokens and other assets: Evidence from a time-frequency quantile connectedness approach146
Expectation formation in finance and macroeconomics: A review of new experimental evidence123
Literature review of experimental asset markets with insiders123
Leadership in a pandemic: Do more able managers keep firms out of trouble?73
Investor sentiment in the tourism stock market61
Reinforcement learning about asset variability and correlation in repeated portfolio decisions58
On-screen reading vs. On-paper reading: Does it influence trust and risk differently?57
Survey-based measures of risk attitudes and portfolio risk: Evidence from pension participants51
Preemptive signaling and the emergence of trust in entrepreneurial investments50
Editorial Board48
The Luckin Coffee scandal and short selling attacks47
Complexity in insurance selection: Cross-classified multilevel analysis of experimental data43
Genetic distance and stock market integration42
The impact of financial literacy on the quality of self-reported financial information41
Experiments in finance: A survey of historical trends36
Social capital and the riskiness of trade credit35
Sustainable risk preferences on asset allocation: a higher order optimal portfolio study33
Momentum in real economy and industry stock returns32
Exploring the impact of identity fusion on managerial decision-making in eponymous firms32
Extrapolative beliefs and return predictability: Evidence from China26
Editorial Board26
Trading restrictions and investor reaction to non-gains, non-losses, and the fear of missing out: Experimental evidence25
Using comics to improve financial behaviour24
Frenzied buyers and sophisticated sellers: How short sellers trade individual investors’ most purchased stocks24
The influence of trauma insurance on quality of life among cancer survivors23
Corporate social responsibility, intrinsic religiosity, and investment decisions23
Does major depressive disorder affect the perception of financial threat and willingness to change financial behavior?22
Bias in cryptocurrency investing: The effect of financial and moral considerations21
Coordination failure in experimental banks of different sizes20
CEO gender and risk aversion: Further evidence using the composition of firm’s cash19
Financial literacy, risk tolerance, and cryptocurrency ownership in the United States19
Cost asymmetry around seasoned equity offerings18
Religion, social desirability bias and financial inclusion: Evidence from a list experiment on Islamic (micro-)finance18
The impact of more able managers on corporate trade credit18
CEO-friendly boards and seasoned equity offerings18
Extreme local temperatures lower expressed sentiment about U.S. economic conditions with implications for the stock returns of local firms18
Emotions and stock market anomalies: A systematic review17
Herding in the non-fungible token (NFT) market17
Societal secrecy and ADR IPOs underpricing17
Economic predictors of the subjective experience of financial stress16
The clientele effects in equity crowdfunding: A complex network analysis16
CEO’s early-life war-experience and corporate philanthropic donation: Evidence from the Korean War16
Litigation risk and corporate performance15
Are credit scores gender-neutral? Evidence of mis-calibration from alternative and traditional borrowing data15
Disposition bias among Borsa Istanbul investors: What do we know about type, size and trading frequency?15
Corporate donations and religiosity: Cross-country evidence14
Does a competitive external labour market affect corporate social responsibility? Evidence from industry tournament incentives14
Covariates of behavioral consistency among adolescents14
CEO social capital and capital structure complexity14
Financial literacy and investment behavior of individuals in Pakistan: Evidence from an Environment prone to religious sentiment13
The relevance and influence of social media posts on investment decisions of young and social media-savvy individuals — An experimental approach based on Tweets13
Managerial sentiment and employment13
Inter-industry risk spillovers in the Chinese stock market under epidemic outbreaks13
Promoting financial inclusion for savings groups: A financial education programme in rural Rwanda12
Financial Education or Incentivizing Learning-By-Doing? Evidence from an RCT with Undergraduate Students12
Financial sector components in a religious context: Judaism, Christianity, and Islam12
Corporate culture, cultural diversification, and independent directors: Evidence from earnings conference calls12
Editorial Board12
The Anna Karenina principle and stock prices12
Option traders are concerned about climate risks: ESG ratings and short-term sentiment12
Management connection and firm performance: Evidence from Global Financial Crisis11
FinTech payments in the era of COVID-19: Factors influencing behavioral intentions of “Generation X” in Hungary to use mobile payment11
Irrational exuberance and deception — Why markets spin out of control11
Benefits of consistent and comprehensive financial advice during the Great Recession11
A classical model of speculative asset price dynamics11
Which ESG+F dimension matters most to retail investors? An experimental study on financial decisions and future generations11
Loss aversion and focal point bias: Empirical evidence from housing markets10
Do credit supply shocks affect fertility choices?10
Google search and cross-section of cryptocurrency returns and trading activities10
Information aggregation with heterogeneous traders10
Board of Directors’ connections, gender, and firm performance in a male-dominated industry: Evidence from U.S. banking10
A model of trust in Fintech and trust in Insurtech: How Artificial Intelligence and the context influence it10
Institutional/retail investor active attention and behavior: Firm coverage on Mad Money10
Happiness and IPO performance10
Defaults, disclosures, advice and calculators: One size does not fit all10
CEO-director ties and board gender diversity: US evidence9
Beyond averages: Quantile connectedness between G7 equity markets and derivative tokens9
Early-life epidemic experience and CSR9
Immigration narrative sentiment from TV news and the stock market9
Evaluating SoJump.com as a tool for online behavioral research in China9
Editorial Board9
Stop-loss rules and momentum payoffs in cryptocurrencies9
Stakeholder orientation and cost stickiness9
Gender vs. personality: The role of masculinity in explaining cognitive style9
Financial Freedom Perception Scale (FFPS): Construction and validation8
What explains voluntary premarket underpricing and aftermarket mispricing in Indian IPOs?8
Zurich Trading Simulator (ZTS) — A dynamic trading experimental tool for oTree8
CEO and CFO conscientiousness and working capital management during global financial crisis8
Media coverage and patent trolls: A study on US high-tech firms8
Killing in the stock market: Evidence from organ donations8
Corporate complexity, managerial myopia, and hostile takeover exposure: Evidence from textual analysis8
Journal of Behavioral and Experimental Finance: A bibliometric overview8
Home bias and the returns of strategic portfolios: Neither always so good nor so bad7
Savings goals matter–Cognitive constraints, retirement planning, and downstream economic behaviors7
Company name fluency and stock returns7
A flexible estimation of sectoral portfolio exposure to climate transition risks in the European stock market7
Examining the bidirectional ripple effects in the NFT markets: Risky center or hedging center?7
A review on personality models and investment decisions7
Wall street watches Washington: Asset pricing implications of policy uncertainty7
Drivers of financial well-being in socio-economic deprived populations7
Voluntary insurance vs. stabilization funds: An experimental analysis on bank runs7
A framework for analyst economic incentives and cognitive biases: Origination of the walk-down in earnings forecasts7
Do political connections or elite capture matter in access to financial services? Evidence from Indian households7
Editorial Board7
Air pollution and online lender behavior: Evidence from Chinese peer-to-peer lending7
Ambiguity attitudes and demand for weather index insurance with and without a credit bundle: experimental evidence from Kenya7
Does corporate environmental responsibility create value?: Evidence from supreme Court rulings7
The puzzle of left-handedness: Evidence from corporate innovation7
Heroes, just for one day: The impact of Donald Trump’s tweets on stock prices7
Editorial Board7
Return volatility and trading volume of GameFi7
Global momentum: The optimal trading approach7
Does national culture affect macroprudential policy? An international investigation of regulatory behavior on macroprudential interventions7
Corporate integrity and hostile takeover threats: Evidence from machine learning and “CEO luck”6
Corporate sexual orientation equality policies and the cost of equity capital6
Fintech development, firm digitalization, and bank loan pricing6
Empowering consumers: an experimental study of human and AI intermediary in insurance decision-making6
Does DeFi remove the need for trust? Evidence from a natural experiment in stablecoin lending6
Elicitation of risk preferences through satisficing6
Real-life investors’ memory recall bias: A lab-in-the-field experiment6
The asymmetric relationship between state media tone and the Chinese bond market during COVID-19: Evidence from a nonlinear ARDL model6
The effects of public disclosures and information acquisition on price informativeness in a multi-attribute asset market6
Editorial Board6
Beta, value, and growth: Do dichotomous risk-preferences explain stock returns?6
Corporate social responsibility reporting in family firms: Evidence from China5
Income volatility and saving decisions: Experimental evidence5
Improving pension information: Experimental evidence on learning using online resources5
Point shaving? A novel experiment and new insights5
Leading safely: The impact of generalist CEOs on workplace safety5
A systematic literature review of investor behavior in the cryptocurrency markets5
Revisiting financial fragility during the COVID-19 pandemic: Evidence from Taiwan5
Do algorithmic traders exploit volatility?5
Diffusion of mobile banking among rural women: Incentivizing local leaders vs. a marketing campaign4
Cryptocurrency ownership and cognitive biases in perceived financial literacy4
Risk is in the eye of the investor: Cryptocurrency investors’ engagement with risk, regulatory advice, and regulatory institutions4
Does employee stock ownership program reduce a company’s stock volatility during the Covid-19 lockdown?4
Dynamic risk spillovers between crude oil futures and the Chinese stock market under exogenous shocks: A refined analysis with stock clustering4
What makes depression babies different: Expectations or preferences?4
No rose without a thorn: Corporate teamwork culture and financial statement misconduct4
Can stock message board sentiment predict future returns? Local versus nonlocal posts4
How heterogeneous information induces market inefficiencies4
Is financial literacy a protection tool from online fraud in the digital era?4
The Bitcoin gold correlation puzzle4
Game, guide or website for financial education improvement: Evidence from an experiment in Colombian schools4
Changes in social behavior and impacts of the COVID-19 pandemic on regional housing markets: Independence and risk4
Targeting behavior and capital structure theories: An empirical analysis of gulf cooperation council countries4
Managerial myopia and corporate social responsibility:Evidence from the textual analysis of Chinese earnings communication conferences4
Investor heterogeneity and anchoring-induced momentum4
Autistic adults, financial risk preference, and economic outcomes4
Extending the technology acceptance model (TAM): Factors influencing behavioural intentions of investors to use the advice of finfluencers4
Does the investment performance measure matter? A perspective from regulatory focus theory4
Extreme spillovers between insurance tokens and insurance stocks: Evidence from the quantile connectedness approach4
Predictability of crypto returns: The impact of trading behavior4
A good name is better than riches: Family firms and working capital management4
The beta anomaly and the quality effect in international stock markets3
Unpacking the relevance of interpersonal trust in the blockchain era: Theory and experimental evidence3
The impact of peer returns in social trading3
Impression management in the boardroom: How CEO facial trustworthiness influences turnover risk3
National air pollution and the cross-section of stock returns in China3
Gender differences and measurement error in financial literacy3
Immigration Narrative and Home Prices3
Investor horizon, experience, and the disposition effect3
Upholding integrity: The influence of executives’ backgrounds on corporate information environment3
Estimating the effect of climate change exposure on firm value using climate policy uncertainty: A text-based approach3
Presenting return charts in investment decisions3
Can a machine learn from behavioral biases? Evidence from stock return predictability of deep learning models3
Investigation of the convex time budget experiment by parameter recovery simulation3
Point shaving in NCAA Men’s Basketball: Behavioral finance, scale, and deterrence3
Optimal stopping decisions and the disposition effect3
Financial forecasting in the lab and the field: Qualified professionals vs. smart students3
Individual differences in susceptibility to financial bullshit3
How does the smart money feel? Hedge fund sentiment, returns, and the business cycle3
Honesty is predicted by moral values and economic incentives but is unaffected by acute stress3
Pricing anomalies in a general equilibrium model with biased learning3
Are the European Union stock markets vulnerable to the Russia–Ukraine war?3
The informational role of imagery in financial decision making: A new approach3
The interplay of CSR, stakeholder interest management, capital budgeting, and firm performance3
Nudging debtors with non-performing loans: Evidence from three field experiments3
Judging a book by its cover: Fund investors’ physical attractiveness stereotypes and investor behavior3
Financial literacy, self-efficacy and risky credit behavior among college students: Evidence from online consumer credit3
Investment motives and performance expectations of impact investors3
Customer concentration and shareholder litigation risk: Evidence from a quasi-natural experiment3
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