Filiz, Ibrahim
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2

Algorithm Aversion as an Obstacle in the Establishment of R..:

Filiz, Ibrahim ; Judek, Jan René ; Lorenz, Marco.
Journal of Risk and Financial Management.  15 (2022)  8 - p. 353 , 2022
 
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3

Sticky Stock Market Analysts:

Filiz, Ibrahim ; Judek, Jan René ; Lorenz, Marco.
Journal of Risk and Financial Management.  14 (2021)  12 - p. 593 , 2021
 
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4

Reducing algorithm aversion through experience:

Filiz, Ibrahim ; Judek, Jan René ; Lorenz, Marco.
Journal of Behavioral and Experimental Finance.  31 (2021)  - p. 100524 , 2021
 
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5

Measurement of risk preference:

Filiz, Ibrahim ; Nahmer, Thomas ; Spiwoks, Markus.
Journal of Behavioral and Experimental Finance.  27 (2020)  - p. 100355 , 2020
 
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6

Biases and heuristics in portfolio management 

determinants for non-optimal portfolio diversification 
 
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7

Herd behavior and mood: An experimental study on the foreca..:

Filiz, Ibrahim ; Nahmer, Thomas ; Spiwoks, Markus
Journal of Behavioral and Experimental Finance.  24 (2019)  - p. 100232 , 2019
 
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9

Portfolio diversification: the influence of herding, status..:

Filiz, Ibrahim ; Nahmer, Thomas ; Spiwoks, Markus.
Financial Markets and Portfolio Management.  32 (2018)  2 - p. 167-205 , 2018
 
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14

Sticky Stock Market Analysts:

Filiz, Ibrahim ; Judek, Jan René ; Lorenz, Marco...
https://resolver.sub.uni-goettingen.de/purl?gro-2/99517.  , 2021
 
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15

Interest rate forecasts in Latin America:

Filiz, Ibrahim ; Judek, Jan René ; Lorenz, Marco.
https://resolver.sub.uni-goettingen.de/purl?gro-2/135465.  , 2021
 
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