Index

Contemporary Issues in Behavioral Finance

ISBN: 978-1-78769-882-6, eISBN: 978-1-78769-881-9

ISSN: 1569-3759

Publication date: 4 July 2019

This content is currently only available as a PDF

Citation

(2019), "Index", Grima, S., Özen, E., Boz, H., Spiteri, J. and Thalassinos, E. (Ed.) Contemporary Issues in Behavioral Finance (Contemporary Studies in Economic and Financial Analysis, Vol. 101), Emerald Publishing Limited, Leeds, pp. 283-291. https://doi.org/10.1108/S1569-375920190000101018

Publisher

:

Emerald Publishing Limited

Copyright © 2019 Emerald Publishing Limited


INDEX

Aaker’s and Joachimstahler’s model of consumer brand equity
, 50–52

Adaptive Neuro-Fuzzy Inference System (ANFIS)
, 16, 21

visual prediction performance
, 22–24

Adjustment-anchoring
, 81

Advertising
, 56

Affinity propagation clustering
, 16

Ahi Unions
, 67

Akaike information criterion
, 167

Allais paradox
, 80

Alternative input–output orders for prediction
, 19–20

“Anchoring effect”
, 88, 90

Anderson and Darling test
, 267

ARCH LM test
, 39

Artificial intelligence
, 14

applications and evaluation
, 20–23

artificial intelligence-oriented approach for stock price prediction
, 15

economic data prediction
, 17–20

future research ideas
, 23–25

literature view
, 15–17

Artificial Neural Networks (ANNs)
, 18

Asian financial crisis
, 32–33

Association of British Insurers (ABI)
, 101, 245

Athens Stock Exchange, herd behavior in
, 180

Augmented Dickey–Fuller test (ADF test)
, 38

unit root test results
, 167

Augmented reality (AR)
, 54

application
, 57–58, 62

comparison of respondents’ attitudes
, 61

demographics
, 59

experiential field research on
, 60–64

frequencies of online information gathering and internet applications
, 60

literature review
, 55–58

online shopping frequencies of respondents
, 60

place and potential
, 54

purchasing behaviors of respondents
, 59–60

purpose and method of study
, 58–59

respondents’ attitudes toward brand trust and purchase intentions
, 60–62

technology
, 54–55

Augmented reality applications (AR applications)
, 157, 157

comments
, 160–161

comparison of respondents’ attitudes toward experiential marketing
, 159

findings and comments
, 159–160

importance, purpose, and method of research
, 157–158

method of research and hypotheses
, 158

Auto-enrolment

employer pension system
, 105

pension systems
, 103

plan
, 110

system
, 106–108

workplace schemes
, 106

Autoregressive Integrated Moving Average model (ARIMA model)
, 16

Autoregressive Model (ARM)
, 18

Aydin Fig Producers Company
, 68

Barlet test
, 194–195

Bartlett kernel
, 273

Bayes’ theorem
, 79

Bayesian Learning on Gaussian process model (BG)
, 18

Bayesian learning theory
, 79

Behavior(al)

biases
, (see also Cognitive biases), 84, 86, 112, 246

control
, 7–8

dimension of economics
, 216

economics
, 205–206

in financial services
, 103–104

influences
, 100–102

intentions
, 49

obstacles to proper planning
, 105–116

Behavioral economy analysis
, 205

data and methodology
, 208–209

empirical results
, 209–212

literature review
, 206–208

Behavioral finance
, 78, 80, 103, 105, 116, 216–217, 219, 247

acknowledges emotional
, 101

anchoring
, 83

avoidance of ambiguity
, 82–83

cognitive contradiction
, 83

conservatism
, 81

framing
, 82

herding
, 83–84

literature
, 81

loss aversion
, 84

mental accounting
, 82

optimism
, 83

overconfidence
, 82

regret avoidance
, 84

representativeness
, 82

status quo biases
, 83

theories and research
, 104

Behavioral obstacles
, 105

amounts available for saving of average Maltese households
, 108

behavioral finance
, 116

choice-overload
, 114

comparison tables
, 120–138

employees participating in workplace pensions
, 106

indicators used to calculate MMGPI
, 107

people’s behavior
, 112

portfolio options
, 113–114

PRIIPs
, 113

Save for Tomorrow−
, 109–110

SRA
, 111

BIST Whole Index, herd behavior on
, 181–183

Brand trust

within context of experiential marketing
, 55–57

respondents’ attitudes toward
, 60–62

Brand(ing)
, 46–47

ability
, 56

associations
, 51–52

awareness
, 51–52

brand-as a person
, 50

brand-as product
, 50

brand-as-organization
, 50

brand-as-symbol
, 50

equity measurement and application of models
, 46, 51

identity
, 48, 50

image and reputation in
, 48–49

information
, 56

loyalty
, 51

relational network brand
, 47

reputation
, 56

systematic analysis
, 51

Bretton Woods fixed exchange rate system
, 164

Cash and cashless payments in Poland

literature review
, 140–143

no possibility of cashless payment
, 145–150

number and value of payments in Euro area
, 142

research method and results of primary research
, 143–145

Cashless Payment Support Program
, 146

Central Bank of Republic of Turkey
, 165–166

Chartered Institute of Personnel and Development (CIPD)
, 110

Chinese stock index
, 16

Chinese stock markets, herd behavior in
, 179

Co-integration regression
, (see also Panel Johansen co-integration test), 269–274

Cognitive biases
, 80–81

anchoring
, 83

avoidance of ambiguity
, 82–83

cognitive contradiction
, 83

conservatism
, 81

framing
, 82

herding
, 83–84

loss aversion
, 84

mental accounting
, 82

optimism
, 83

overconfidence
, 82

regret avoidance
, 84

representativeness
, 82

status quo biases
, 83

Compensation-based herd behavior
, 222

Consumer control
, 6

as coping strategies against risks
, 8–9

Consumer Financial Protection Bureau
, 116

Consumers
, 140–141, 146–147

Aaker’s and Joachimstahler’s model of consumer brand equity
, 50–52

cash and cashless payments constitute
, 140

risk in consumer behavior
, 2–4

trust
, 6

Contactless cards
, 141

“Control of Corruption” indicator
, 262

and SM performance
, 266, 274

Cooperative(s)
, 66

historical dynamics of cooperatives in Turkey
, 67–68

model
, 67

movement
, 68

“tedavün”
, 67

Cooperatives Act
, 68

Crypto-currencies
, 25

Customer

experiences
, 56

participation in production
, 8

DCC-GARCH method
, 33

Department for Work & Pensions (DWP)
, 105–106, 110, 116

Diagonal BEKK model
, 37

conditional correlation from
, 41

Dynamic Boltzmann Machine (DyBM)
, 18

East Asia and Pacific
, 262, 269

WGIs and stock market activity in
, 269

Echo state network (ESN)
, 16

Economic data prediction
, 17, 19

alternative input–output orders for prediction
, 19–20

machine learning
, 17–18

techniques for prediction applications
, 18–19

time series prediction
, 17–18

Efficient market hypothesis
, 79, 100, 216–217, 220

semi-strong form market efficiency
, 218

strong form market efficiency
, 218–219

weak form market efficiency
, 217–218

EGARCH models
, 31

Ellsberg paradox
, 80

Emotional/emotions
, 98

attachment
, 46

bonds
, 46

tendency
, 81

Employment

growth
, 71

level
, 79

policy
, 66

policy tool
, 70–74

rates
, 66

Enterprise Survey of World Bank
, 266

Europe and Central Asia
, 262, 269

WGIs and stock market activity in
, 270

European Central Bank (ECB)
, 142

Exchange rate
, 163–165

change in
, 163

data and research method
, 166–167

effect
, 165

empirical analysis and results
, 167–168

literature
, 165–166

in Turkey
, 164

Expectancy-value theory
, 49

Expected utility theory
, 79

Experiential marketing
, 54–55, 155–158, 160

brand trust and purchase intention within context of
, 55–57

comparison of respondents’ attitudes toward
, 159

Financial crisis (2008)
, 229

Financial literacy
, 78, 102, 235–236

behavioral finance and cognitive biases
, 80–84

criticism of traditional finance models
, 79–80

findings and comment
, 87–92

literature review
, 84–87

methodology
, 87

properties of sampling group
, 88

purpose and method of research
, 87

traditional behavioral models in finance
, 79

Financial markets

instruments
, 220

purchasing decision and herd behavior in
, 223–224

Financial Times Stock Exchange 100 (FTSE 100)
, 31

Financial/finance

behavior in financial services
, 103–104

customers
, 87

development
, 30

education plan
, 110

institution employees
, 87

instrument
, 83

investments
, 84

knowledge
, 148

risk
, 4, 223–224

students
, 87

traditional behavioral models in
, 79

Firefly Algorithm (FA)
, 16

Framing
, 82

bias
, 90

Fringe Benefits Rules
, 247

Fund managers
, 177, 222

“Games-Howell” post hoc test
, 91

“Government Effectiveness” indicator
, 262

and SM performance
, 264, 273

Government Governance Indicators (GGIs)
, 266

Johansen co-integration test for
, 268

Granger causality test
, 36, 166–167

Gross domestic product (GDP)
, 264

market capitalization as percentage of
, 268

Herd behavior
, 172, 216–217, 219

on BIST Whole Index
, 181–183

fake/false
, 174, 220

in financial markets
, 223–224

in Hong Kong
, 179

in Japan
, 179

in Shanghai Indices
, 179

in Shenzhen Indices
, 179

in Taiwan
, 179–180

in United States
, 179

intentional
, 174

irrational
, 222–223

literature review
, 178–181

rational
, 220–222

result of regression analysis
, 181

spurious
, 174

and types
, 173–181

Herd intelligence
, 172

Herd psychology
, 216

Herding
, 83–84, 172

behavior
, 85, 86

psychology bias
, 90

Heuristics
, 81, 223

Hidden Markov Model (HMM)
, 16

Human behavior
, 81

Human psychology
, 80

Hyperbolic Discounting
, 108

Identity–Behavior–Image model
, 48

Illusion of Control Theory
, 8

Image in branding
, 48–49

“Imece” (Turkish collaborative work)
, 67

Income Tax Act (1949)
, 248

Individual

consumers
, 245

investors
, 78, 83

net worth
, 102

wealth
, 79

Industrialization
, 66

Informatics community
, 14

Information

content of WGIs
, 275

information-based herd behavior
, 175, 221

waterfall
, 221

Information technology

applications
, 54

developments in
, 157

Intelligent systems
, 14, 25

International Year of Cooperatives by United Nations General Assembly
, 68

Internet banking
, 188

analysis
, 191

demographic characteristics of bank customers
, 192

determination of factors affecting internet banking preferences
, 194

factors affecting
, 189

homogeneity and ANOVA test results
, 199–200

independent two-sample t-test for gender
, 197

literature review
, 188–190

method
, 191

participants’ preferences of branch, ATM, and
, 193

results
, 191

results of KMO and Bartlett’s test
, 195

rotated factor matrix
, 196

two independent sample t-tests according to marital status
, 198

Intertemporal behavior
, 98

Investor Compensation Scheme
, 248

Investors
, 81

behaviors
, 86

buying behavior
, 224

perception of financial risk
, 223–224

stock pricing behavior
, 85

Irish Association of Pension Funds
, 114–115

ISE, herd behavior in
, 180

Isolation effect phenomenon
, 207, 210–211

Istanbul Stock Exchange (BIST)
, 16, 173

Istanbul Stock Exchange 100 index (BIST100 index)
, 30, 35, 38–39

Izmir Economics Congress
, 68

Jarque-Bera test statistic
, 38

Johansen Cointegration test
, 168

K-nearest neighbor algorithm (K-NN)
, 18

Kaiser–Meyer–Olkin tests (KMO tests)
, 194–195

Karachi stock exchange (KSE)
, 264

KEİ;G–women’s labor and employment initiative
, 73

Kinship of destination
, 46

Knowledge-based behavior
, 84

herd behavior
, 175

Kooperatif
, 67

Kurtosis values
, 38

Lagrange multiplier (LM)
, 36

Latin America and Caribbean countries
, 262, 269

WGIs and stock market activity in
, 270

Leverage effect
, 34

Libertarian Paternalism
, 109

Ljung-Box Q-statistics
, 40

Loss aversion
, 84

bias
, 88, 90

Machine learning
, 14–15, 17–18

of Artificial Intelligence
, 24–25

time series prediction approach
, 18

training phases
, 22

Maestro and Visa Electron (1996)
, 141

Malta, retirement planning in
, 104

Market

analysts
, 84

capitalization as percentage of GDP
, 266, 268

makers
, 174

participants
, 220–221

Market efficiency
, 172

semi-strong form
, 218

strong form
, 218–219

weak form
, 217–218

Marketing communication
, 154–158, 160

Marmara earthquake (1999)
, 69

Melbourne Mercer Global Pension Index (MMGPI)
, 100, 107

Mental accounting
, 82, 90

behavior
, 85–86

Mental distress
, 99

Mercer Melbourne Global Pension Index (2015)
, 101

Middle East and North Africa
, 262, 269

WGIs and stock market activity in
, 271

Ministry for Family and Social Solidarity (MFSS)
, 103, 229

Mobile

application
, 157–158, 160

banking
, 190

payment
, 143

Mood marketing
, 46

Morgan Stanley Capital International European stock index (MSCI stock index)
, 34, 264

Multidimensional Poverty Index (MPI)
, 237

Multipurpose women’s cooperatives
, 69

NASDAQ stock market index
, 16

National Cooperative Strategy and Action Plan (NCSAP)
, 69–70

Neo classical economics
, 80

Nested K-nearest neighbor regression
, 16

New York Stock Exchange (NYSE)
, 16

Newey–West standard errors
, 273

Nigeria, Indonesia, Mexico, Philippines, and Turkey (NIMPT)
, 34

Nigeria Stock Exchange (NSE)
, 16

Nigerian stock exchange
, 84

Nikkei 225 opening index
, 16, 31

Non-cash

payments
, 141, 148

transactions
, 141

North America
, 262, 269

WGIs and stock market activity in
, 271

NSO’s 2008 Household Budgetary Survey
, 109

“Nudge 2.0” concept
, 248

Nudge Unit
, (see Behavioural Insights Team)

“1/n Rule”
, 114–115

Organisation for Economic Co-operation and Development (OECD)
, 66, 106

Overconfidence
, 82, 88, 90

bias
, 207

investors
, 84

prejudice
, 223

“Overoptimism” biases
, 88, 90

Pacific Rim countries
, 264

Packaged Retail and Insurance-based Investment Products Regulation (PRIIPs)
, 113

Panel Johansen co-integration test
, 267–269

Payment card
, 143

transactions
, 141

Payments
, 140–141

Pensions Act (2008)
, 105

Perceived risk
, 2–3

as multi-dimensional concept
, 4–5

Personal pensions
, 107

plan
, 237

Phillips and Perron test (PP test)
, 38–39

“Political Stability and no Violence” indicator
, 262

and SM performance
, 263–264, 273

Prediction
, (see also Economic data prediction), 14

alternative input–output orders for
, 19–20

applications
, 15–16

time series
, 15, 17–18, 20–21, 25

visual prediction performance
, 22–24

Preferences of Bank customers
, 188

Psychological

biases
, 88, 90, 91

factors
, 78, 80

risk
, 4

Purchase intention

within context of experiential marketing
, 55–57

respondents’ attitudes toward
, 60–62

Rational herd behavior
, 175, 220

compensation based on herding
, 176–177

compensation-based herd behavior
, 222

information-based herd behavior
, 221

informational cascade
, 175–176

market participants
, 220–221

reputation based on herding
, 177–178

reputation-based herd behavior
, 222

Rational market behavior
, 101

Regression Equation Specification Error Test (RESET)
, 267

“Regulatory Quality” indicator
, 262

and SM performance
, 265, 273–274

Representativeness
, 81–82

bias
, 85, 88, 90

Reputation
, 177

as awareness, assessment, asset
, 49

based on herding
, 177–178

in branding
, 48

reputation-based herd behavior
, 222

Retirement Optimism Index
, 111

Retirement planning
, 97, 228–229

application of findings to local market
, 244

behavior in financial services
, 103–104

behavioral influences
, 100–102

behavioral obstacles to proper planning
, 105–116

European countries comparison tables
, 120–138

European data
, 99–100

expectation
, 229–230

financial literacy
, 235–236

financial situation
, 234–235

findings
, 234, 240–241

interviews
, 240–241

limitations
, 233–234, 241–242

in Malta
, 104

means of saving toward retirement
, 238–240

median age of total European population
, 98

methodology
, 230–233

online survey
, 251–259

projected old-age dependency ratio based on total expected population
, 99

retirement outlook
, 236–237

scope of study
, 100

significance of study
, 102–103

Retirement savings
, 237–238

Risk
, 2, 6, 8

in consumer behavior
, 2–4

control as coping strategies against
, 8–9

perceived risk as multi-dimensional concept
, 4–5

perception
, 4

reduction strategies
, 5–6

risk-aversion behavior
, 86

risk-reward concept
, 229

risk-taking behaviors
, 86

risk-taking theory
, 6

risk-tolerance
, 230

“Rule of Law” indicator
, 262

and SM performance
, 267, 274

Sarbanes Oxley Act (SOA)
, 265

Save for Tomorrow−
, 109–110

“Sensorama”
, 157

Shanghai stock market index
, 16

SIGGRAPH event
, 57

Social

biases
, 234

cycle effect
, 197

inclusion
, 71

influences
, 112

interaction
, 178

movements
, 71

risk
, 4

sex-based division of labor
, 66

Social Security Act (1987)
, 102

South Asia
, 262, 269

WGIs and stock market activity in
, 272

South Korea, herd behavior in
, 179

Standard and Poor’s 500 index (S&P500 index)
, 30–31, 35, 38–39

Stock market performance (SM performance)
, 266

components of discriminant government governance models for monitoring
, 276–277

relationship with control of corruption
, 266

relationship with government effectiveness
, 264

relationship with political stability
, 263–264

relationship with regulatory quality
, 265

relationship with rule of law
, 265

relationship with voice and accountability
, 263

Stock markets
, 262

development
, 278

sentiment
, 263

Sub-Saharan Africa
, 262, 269

WGIs and stock market activity in
, 272

Sustainable development
, 66, 71

Sustainable development goals (SDG)
, 67

TAIE X closing index
, 16

Takagi–Sugeno–Kang Fuzzy Logic system
, 15

Terrorism attack effect on stock indices
, 264

Theory of the Leisure Class, The
, 173

Traditional behavioral models in finance
, 79

Traditional economics
, 205

theories
, 100

Traditional finance
, 79

criticism
, 79–80

models
, 78

Tunisian Stock Exchange
, 87–88

Turkey
, 66

fixed exchange rate regime in
, 164

historical dynamics of cooperatives in
, 67–68

Statistical Institute data
, 66

sustainable economic development
, 69

Turkish stock market
, 34

women’s cooperatives course in
, 68–70

Turkish Cooperatives Strategy and Action Plan (2012–2016)
, 68

Typeform©; tool
, 230

United Kingdom stock market indices (UK stock market indices)
, 31

United States Stock Exchange
, 30

Urla Women’s Initiative Production and Operation Cooperative
, 73–74

VAR-GARCH method
, 32, 34

Vector Error Correction Model (VECM)
, 168

VECM–based Granger causality test results
, 168

Visa International and MasterCard (1960)
, 140–141

“Voice and Accountability” indicator
, 262, 278

and SM performance
, 263, 273

Volatility diffusion index
, 33

Volatility spillover
, 30

effect of Asia’s five EMs
, 33

conditional correlation from diagonal BEKK model
, 41

correlation between return series
, 38

data
, 35

descriptive statistics
, 38

effects
, 37

methodology
, 35–37

price and return series
, 35

residual diagnostics
, 41

return and
, 33

review of literature
, 31–34

test
, 31

Who Wants to be a Millionaire TV show
, 206, 208

Women Effort Evaluation Foundation (KEDV)
, 70

Women’s cooperatives
, 66

course in Turkey
, 68–70

historical dynamics of cooperatives in Turkey
, 67–68

as tool of employment policy
, 70–74

Women’s Cooperatives Communication Network
, 69

Workplace automatic-enrolment systems
, 107

World Governance Indicators (WGIs)
, 262

co-integration regression
, 269–274

data and variables
, 266–267

dimensions
, 262

methodology
, 267–268

model
, 266

robustness test using discriminant analysis
, 274–275

and stock market performance
, 262–266

Z-score model
, 274–278