The Role of Happiness in Financial Decisions: Evidence from Financial Portfolio Choice and Five European Countries

Author:

Apergis NicholasORCID,Hayat Tasawar,Saeed Tareq

Publisher

Springer Science and Business Media LLC

Subject

General Economics, Econometrics and Finance

Reference93 articles.

1. Agnew, J., Balduzzi, P., & Sunden, A. (2003). Portfolio choice and trading in a large 401(k) plan. American Economic Review, 93, 193–215.

2. Ameriks, J., & Zeldes, S.P. (2004). How do household portfolio shares vary with age? Working Paper, Columbia University, Graduate School of Business. Available: https://www0.gsb.columbia.edu/mygsb/faculty/research/pubfiles/16/Ameriks_Zeldes_age_Sept_2004d.pdf

3. Angerer, X., & Lam, P. S. (2009). Income risk and portfolio choice: An empirical study. Journal of Finance, 64, 1037–1055.

4. Aoki, K., Michaelides, A., & Nikolov, K. (2016). Household portfolios in a secular stagnation world: Evidence from Japan. Bank of Japan Working Paper Series, No.16-4, https://www.boj.or.jp/en/research/wps_rev/wps_2016/data/wp16e04.pdf .

5. Arrelano, M., & Bover, O. (1995). Another look at the instrumental variable estimation of error components models. Journal of Econometrics, 68, 29–51.

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