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Sentiment and risk in financial markets

People

 

Barone Adesi G.

(Responsible)

Sala C.

(Collaborator)

Abstract

The goal of this project is to measure investor sentiment – optimism and overconfidence in particular – and to model its evolution through time. It also aims to study the implications of optimism and overconfidence for asset management.

Additional information

Start date
01.01.2013
End date
31.12.2016
Duration
48 Months
Funding sources
Status
Ended
Category
Other Swiss Programmes / Swiss Finance Institute (SFI) research project