Class information for: |
Basic class information |
ID | Publications | Average number of references |
Avg. shr. active ref. in WoS |
---|---|---|---|
9982 | 1038 | 37.8 | 57% |
Classes in level above (level 2) |
ID, lev. above |
Publications | Label for level above |
---|---|---|
38 | 32239 | BUSINESS, FINANCE//JOURNAL OF FINANCE//JOURNAL OF FINANCIAL ECONOMICS |
Terms with highest relevance score |
Rank | Term | Type of term | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|---|
1 | DISPOSITION EFFECT | Author keyword | 61 | 71% | 5% | 49 |
2 | HOME BIAS | Author keyword | 47 | 51% | 6% | 66 |
3 | INDIVIDUAL INVESTORS | Author keyword | 38 | 59% | 4% | 43 |
4 | STOCKHOLDING | Author keyword | 15 | 88% | 1% | 7 |
5 | TRADING BEHAVIOR | Author keyword | 14 | 60% | 1% | 15 |
6 | HOUSEHOLD FINANCE | Author keyword | 9 | 33% | 2% | 21 |
7 | INDIVIDUAL INVESTOR | Author keyword | 8 | 56% | 1% | 10 |
8 | COUNTRY PORTFOLIOS | Author keyword | 8 | 100% | 0% | 5 |
9 | JOURNAL OF BEHAVIORAL FINANCE | Journal | 7 | 19% | 3% | 35 |
10 | PORTFOLIO CHOICE | Author keyword | 7 | 15% | 4% | 44 |
Web of Science journal categories |
Author Key Words |
Rank | Web of Science journal category | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
LCSH search | Wikipedia search |
---|---|---|---|---|---|---|---|
1 | DISPOSITION EFFECT | 61 | 71% | 5% | 49 | Search DISPOSITION+EFFECT | Search DISPOSITION+EFFECT |
2 | HOME BIAS | 47 | 51% | 6% | 66 | Search HOME+BIAS | Search HOME+BIAS |
3 | INDIVIDUAL INVESTORS | 38 | 59% | 4% | 43 | Search INDIVIDUAL+INVESTORS | Search INDIVIDUAL+INVESTORS |
4 | STOCKHOLDING | 15 | 88% | 1% | 7 | Search STOCKHOLDING | Search STOCKHOLDING |
5 | TRADING BEHAVIOR | 14 | 60% | 1% | 15 | Search TRADING+BEHAVIOR | Search TRADING+BEHAVIOR |
6 | HOUSEHOLD FINANCE | 9 | 33% | 2% | 21 | Search HOUSEHOLD+FINANCE | Search HOUSEHOLD+FINANCE |
7 | INDIVIDUAL INVESTOR | 8 | 56% | 1% | 10 | Search INDIVIDUAL+INVESTOR | Search INDIVIDUAL+INVESTOR |
8 | COUNTRY PORTFOLIOS | 8 | 100% | 0% | 5 | Search COUNTRY+PORTFOLIOS | Search COUNTRY+PORTFOLIOS |
9 | PORTFOLIO CHOICE | 7 | 15% | 4% | 44 | Search PORTFOLIO+CHOICE | Search PORTFOLIO+CHOICE |
10 | BEHAVIORAL FINANCE | 6 | 13% | 4% | 45 | Search BEHAVIORAL+FINANCE | Search BEHAVIORAL+FINANCE |
Key Words Plus |
Rank | Web of Science journal category | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|
1 | HOME BIAS | 82 | 46% | 13% | 134 |
2 | INDIVIDUAL INVESTORS | 81 | 54% | 10% | 103 |
3 | COMMON STOCK INVESTMENT | 72 | 66% | 6% | 67 |
4 | DOMESTIC INVESTORS | 31 | 58% | 3% | 35 |
5 | DOMESTIC BIAS | 26 | 100% | 1% | 11 |
6 | PORTFOLIO CHOICE | 22 | 25% | 8% | 78 |
7 | HIGH TURNOVER | 19 | 76% | 1% | 13 |
8 | STOCK MARKET PARTICIPATION | 18 | 49% | 3% | 27 |
9 | FOREIGN INVESTORS | 16 | 58% | 2% | 19 |
10 | COMPANY STOCK | 15 | 68% | 1% | 13 |
Journals |
Rank | Web of Science journal category | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|
1 | JOURNAL OF BEHAVIORAL FINANCE | 7 | 19% | 3% | 35 |
Reviews |
Title | Publ. year | Cit. | Active references |
% act. ref. to same field |
---|---|---|---|---|
On returns differentials | 2013 | 6 | 14 | 50% |
Overconfidence and trading volume | 2007 | 71 | 54 | 28% |
SOLVING SOME FINANCIAL PUZZLES WITH PROSPECT THEORY AND MENTAL ACCOUNTING: A SURVEY | 2008 | 0 | 71 | 32% |
A review on international portfolio diversification: The Middle East and North African region | 2010 | 0 | 27 | 30% |
Preventing Excessive Retail Investor Trading under MiFID: A Behavioural Law & Economics Perspective | 2009 | 0 | 34 | 24% |
Volume, volatility, price, and profit when all traders are above average | 1998 | 276 | 67 | 4% |
Address terms |
Rank | Address term | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|
1 | IAB NUREMBERG | 2 | 67% | 0.2% | 2 |
2 | GLOBALIZAT MONETARY POLICY | 2 | 36% | 0.4% | 4 |
3 | LEHRSTUHL BANKBETRIEBSLEHRE | 1 | 31% | 0.4% | 4 |
4 | INT INTEGRAT STUDIES | 1 | 11% | 1.0% | 10 |
5 | FINANCE REAL ESTATE INSURANCE | 1 | 30% | 0.3% | 3 |
6 | BI MOODY III BUSINESS | 1 | 50% | 0.1% | 1 |
7 | CEFMS | 1 | 50% | 0.1% | 1 |
8 | CHAIR FINANCE ECON | 1 | 50% | 0.1% | 1 |
9 | FINANCE INVESTMENT BANKING | 1 | 50% | 0.1% | 1 |
10 | INT FINANCE REGULAT | 1 | 50% | 0.1% | 1 |
Related classes at same level (level 1) |
Rank | Relatedness score | Related classes |
---|---|---|
1 | 0.0000209339 | CROSS LISTING//CROSS LISTINGS//STOCK PRICE SYNCHRONICITY |
2 | 0.0000204682 | HERDING//INFORMATIONAL CASCADES//STRATEGIC EXPERIMENTATION |
3 | 0.0000190969 | CAPITAL GAINS TAXATION//ASSET LOCATION//TAX ARBITRAGE |
4 | 0.0000152281 | FINANCIAL LITERACY//CREDIT CARD DEBT//FINANCIAL SOCIALIZATION |
5 | 0.0000141144 | MUTUAL FUNDS//HEDGE FUNDS//FUND FLOWS |
6 | 0.0000122066 | VALUE PREMIUM//JOURNAL OF PORTFOLIO MANAGEMENT//CROSS SECTION OF STOCK RETURNS |
7 | 0.0000115446 | EQUITY PREMIUM//LONG RUN RISK//EQUITY PREMIUM PUZZLE |
8 | 0.0000106866 | JOURNAL OF FINANCIAL MARKETS//MARKET MICROSTRUCTURE//LIQUIDITY |
9 | 0.0000103053 | SELL IN MAY//DAY OF THE WEEK EFFECT//CALENDAR ANOMALIES |
10 | 0.0000100300 | GOOGLE INSIGHTS FOR SEARCH//NEWS SENTIMENT//GOOGLE TRENDS |