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The Handbook of Investors' Behavior during Financial Crises
provides fundamental information about investor behavior during
turbulent periods, such the 2000 dot com crash and the 2008 global
financial crisis. Contributors share the same behavioral finance
tools and techniques while analyzing behaviors across a variety of
market structures and asset classes. The volume provides novel
insights about the influence and effects of regional differences in
market design. Its distinctive approach to studies of financial
crises is of key importance in our contemporary financial
landscape, even more so since the accelerated process of
globalization has rendered the outbreak of financial crises
internationally more commonplace compared to previous decades.
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