The disposition to sell winners too early and ride losers too long: Theory and evidence H Shefrin, M Statman The Journal of finance 40 (3), 777-790, 1985 | 5666 | 1985 |
Behavioral portfolio theory H Shefrin, M Statman Journal of financial and quantitative analysis 35 (2), 127-151, 2000 | 1968 | 2000 |
Socially responsible mutual funds (corrected) M Statman Financial Analysts Journal 56 (3), 30-39, 2000 | 1501 | 2000 |
Doing well while doing good? The investment performance of socially responsible mutual funds S Hamilton, H Jo, M Statman Financial analysts journal 49 (6), 62-66, 1993 | 1472 | 1993 |
Investor overconfidence and trading volume M Statman, S Thorley, K Vorkink The Review of Financial Studies 19 (4), 1531-1565, 2006 | 1369 | 2006 |
Explaining investor preference for cash dividends HM Shefrin, M Statman Journal of financial economics 13 (2), 253-282, 1984 | 1220 | 1984 |
How many stocks make a diversified portfolio? M Statman Journal of financial and quantitative analysis 22 (3), 353-363, 1987 | 1164 | 1987 |
Investor sentiment and stock returns KL Fisher, M Statman Financial Analysts Journal 56 (2), 16-23, 2000 | 1072 | 2000 |
The wages of social responsibility M Statman, D Glushkov Financial analysts journal 65 (4), 33-46, 2009 | 1007 | 2009 |
Behavioral capital asset pricing theory H Shefrin, M Statman Journal of financial and quantitative analysis 29 (3), 323-349, 1994 | 955 | 1994 |
Behaviorial finance: Past battles and future engagements M Statman Financial analysts journal 55 (6), 18-27, 1999 | 857 | 1999 |
Consumer confidence and stock returns M Statman, KL Fisher Santa Clara University Dept. of Finance Working Paper, 2002 | 668 | 2002 |
Socially responsible indexes: Composition, performance, and tracking error M Statman Journal of portfolio Management 32 (3), 100-109, 2006 | 564 | 2006 |
Portfolio optimization with mental accounts S Das, H Markowitz, J Scheid, M Statman Journal of financial and quantitative analysis 45 (2), 311-334, 2010 | 409 | 2010 |
Behavioral finance: Finance with normal people M Statman Borsa Istanbul Review 14 (2), 65-73, 2014 | 386 | 2014 |
Why do countries matter so much in corporate social performance? Y Cai, CH Pan, M Statman Journal of Corporate Finance 41, 591-609, 2016 | 346 | 2016 |
Affect in a behavioral asset-pricing model M Statman, KL Fisher, D Anginer Financial Analysts Journal 64 (2), 20-29, 2008 | 342 | 2008 |
How useful is the sentiment index? ME Solt, M Statman Financial Analysts Journal 44 (5), 45-55, 1988 | 325 | 1988 |
The diversification puzzle M Statman Financial Analysts Journal 60 (4), 44-53, 2004 | 319 | 2004 |
Bullish or bearish? RG Clarke, M Statman Financial Analysts Journal 54 (3), 63-72, 1998 | 306 | 1998 |