معرفی
Martin Weber is a Professor at the University of Mannheim's Department of Banking and Finance. He specializes in behavioral finance, financial economics, and investor decision-making. His research focuses on topics such as risk perception, overconfidence, mutual fund investments, corporate governance, and market efficiency. He has co-authored numerous influential papers examining individual investor behavior, portfolio strategies, and the psychological factors influencing financial decisions.
Key research interests include understanding how cognitive biases affect investment choices, the dynamics of risk-taking over time, and the implications of behavioral phenomena like the disposition effect and myopic loss aversion. Weber's work bridges academic theory with practical insights into financial markets, often employing experimental methods and empirical analysis.
His articles explore themes such as the impact of framing effects on market forecasts, the role of volatility in investor behavior, and the design of optimal asset allocation policies for individual investors. Notable contributions include studies on the determinants of pairs trading profitability, the perception of dependence in financial markets, and the cognitive foundations of uncertainty perception.
While no specific awards or grants are explicitly listed in the provided text, his prolific publication record and frequent collaborations with leading institutions underscore his significant contributions to the field of behavioral finance and financial economics.
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- TThomas LangerUniversity of Zurich · استاد
Martin WeberGraz University of Technology · استاد- MMartin WeberCentre for European Economic Research · استاد
Martin WeberUniversity of Mannheim · استاد- MMeike BradburyUniversity of Zurich · پژوهشگر
- TTobin HanspalVienna University of Economics and Business · دانشیار