Economics, Econometrics and Finance
Investors
100%
Capital Market Returns
33%
Price
31%
Volatility
29%
Wealth
27%
Investment Decision
23%
Ownership
20%
Specific Industry
18%
Portfolio Choice
15%
Skewness
15%
Finance
14%
Merger
13%
Asset Pricing
13%
Risk Attitude
13%
Interest Rate
11%
Corporate Bond
11%
Cash Flow
11%
Time Series
11%
Financial Market
11%
Credit
10%
Stock Price
9%
Pricing
9%
Discount Rate
9%
Credit Rationing
9%
Fixed Effects
9%
Inflation
8%
Portfolio Diversification
8%
Bailout
7%
Causality Analysis
7%
Stock Option
7%
Transaction Costs
7%
Immediacy
7%
Arbitrage
7%
Risk Factor
7%
Cost of Equity
7%
Mental Disorder
7%
Financial Crisis
7%
Wealth Effect
7%
Spillover Effect
6%
Retail Investors
6%
Measure of Dispersion
6%
Trading Volume
5%
Securities Market
5%
Convenience Yields
5%
CAPM
5%
Externalities
5%
Alternative Currency
5%
Median
5%
Social Sciences
Investors
16%
Finnish
14%
Household
9%
Stock Market
9%
Mental Health
7%
Sweden
6%
Finland
5%