BMI, Edition ESKA, Journal BMI

Bankers, Markets & Investors

Current Issue

Vol. 164 (2021)
Published April 26, 2021
Special issue Behavioral Finance

Guest editors:

Marie PFIFFELMANN, LaRGE Research Center, EM Strasbourg Business School, University of Strasbourg
Patrick ROGER, LaRGE Research Center, EM Strasbourg Business School, University of Strasbourg

ARTICLES
How do anticipation and experience of regret affect financial decision-making? A lab experiment
Jean-Francois GAJEWSKI, Lyon 3 Jean Moulin University, iaelyon, Magellan
Sima OHADI, Odonatech

Dividend policy and managerial overconfidence: French evidence
Sana CHARBTI, CREGO, Université de Bourgogne et de Franche-Comté
Fabrice HERVÉ, CREGO, Université de Bourgogne et de Franche-Comté
Evelyne POINCELOT, CREGO, Université de Bourgogne et de Franche-Comté

What do we learn about CEOs’ behaviour through neurofinance?
Guillaume BAECHLER, Université Paris-Saclay
Laurent GERMAIN, TBS Business School

FOCUS ON
A note on portfolio choice and behavioral finance: Some food for thought
Marie PFIFFELMANN, LaRGE Research Center, EM Strasbourg Business School, University of Strasbourg
Patrick ROGER, LaRGE Research Center, EM Strasbourg Business School, University of Strasbourg

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Bankers, Markets and Investors aims at publishing short and innovative research articles in the areas of banking, financial markets and investment with relevant practical application for investors. The purpose of the journal is to create a bridge between academics and professionals, by publishing articles that have direct relevance to those working in finance. We seek short articles, forward-looking and rigorous, written in a style accessible to professional readership. The themes of the journal include the following: portfolio choice, investment management, institutional investors (pension funds, sovereign wealth funds, insurance, mutual funds…), individual investors and household finance, behavioral finance, alternative investments (hedge funds, private equity…), derivatives and structured finance, liquidity and transaction costs, socially responsible investment, funds and corporate governance, regulation and financial risk management, capital markets, interest rate instruments, asset-backed securities, equities and convertibles, securities design, currencies, corporate finance, hedging strategies, asset liability management.