Title | Journal | Journal Categories | Citations | Publication Date |
---|---|---|---|---|
Portfolio Choice Under Cumulative Prospect Theory: An Analytical Treatment | Management Science |
| 192 | 2011 |
Portfolio Selection in Goals-Based WealthManagement | The Journal of Wealth Management | 13 | 2011 | |
SP/A and CPT: A reconciliation of two behavioral decision theories | Economics Letters |
| 17 | 2010 |
10.1017/S0022109010000141 | Journal of Financial and Quantitative Analysis |
| 2010 | |
Investment horizon and the attractiveness of investment strategies: A behavioral approach | Journal of Banking & Finance |
| 48 | 2010 |
Title | Journal | Journal Categories | Citations | Publication Date |
---|---|---|---|---|
Sustainability and Corporate Performance: Moderating Role of Environmental, Social, and Governance Investments in the Transportation Sector | Sustainability |
| 6 | 2022 |
Mental accounts with horizon and asymmetry preferences | Economic Modelling |
| 1 | 2021 |
Forecasting Economic Indicators by Applied Technologies of Data Processing | Vestnik of the Plekhanov Russian University of Economics |
| 2021 | |
Multiperiod Asset Allocation Considering Dynamic Loss Aversion Behavior of Investors | IEEE Transactions on Computational Social Systems | 2 | 2019 | |
Investment Portfolio Optimization on Russian Stock Market in Context of behavioral theory | Finance: Theory and Practice |
| 1 | 2019 |