معرفی
Gabor Neszveda is a researcher at the MNB Institute of John von Neumann University in Budapest, Hungary. His work is centered on finance, with a focus on market efficiency, behavioral finance, and quantitative analysis.
- Research Interests: Financial economics, stock market dynamics, and behavioral finance.
Key Themes: His publications explore liquidity anomalies, investor psychology, and volatility forecasting, often in collaboration with international institutions like the Central Bank of Hungary and Eötvös Loránd University. Recent work includes analyses of pandemic impacts on financial markets and behavioral biases in stock pricing.
- Notable Trends: Nonstandard errors in multi-analyst studies, lottery-like stock preferences, and aspiration-driven investment decisions.
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