Search Results

There are 17179 results for: content related to: Teaching Prospect Theory with the Deal or No Deal Game Show

  1. Analyzing Risky Choices: Q-learning for Deal-No-Deal

    Applied Stochastic Models in Business and Industry

    Volume 30, Issue 3, May/June 2014, Pages: 258–270, Laszlo Korsos and Nicholas G. Polson

    Version of Record online : 25 APR 2013, DOI: 10.1002/asmb.1971

  2. Decision making under risk in Deal or No Deal

    Journal of Applied Econometrics

    Volume 25, Issue 6, September/October 2010, Pages: 987–1027, Nicolas de Roos and Yianis Sarafidis

    Version of Record online : 21 SEP 2009, DOI: 10.1002/jae.1110

  3. You have free access to this content
    Deal or no deal?

    Significance

    Volume 3, Issue 4, December 2006, Pages: 191–192, Linda Wolstenholme and John Haigh

    Version of Record online : 28 NOV 2006, DOI: 10.1111/j.1740-9713.2006.00209.x

  4. ADVERSE CONTRACT INCENTIVES AND INVESTMENT BANKER REPUTATION: TARGET FIRM TENDER OFFER FEES

    Journal of Financial Research

    Volume 19, Issue 1, Spring 1996, Pages: 135–156, Robyn M. McLaughlin

    Version of Record online : 27 AUG 2014, DOI: 10.1111/j.1475-6803.1996.tb00589.x

  5. Dynamic Prudential Regulation: Is Prompt Corrective Action Optimal?

    Journal of Money, Credit and Banking

    Volume 43, Issue 8, December 2011, Pages: 1625–1661, ILHYOCK SHIM

    Version of Record online : 28 NOV 2011, DOI: 10.1111/j.1538-4616.2011.00461.x

  6. Subordinated Debt, Market Discipline, and Bank Risk

    Journal of Money, Credit and Banking

    Volume 43, Issue 6, September 2011, Pages: 1043–1072, YEHNING CHEN and IFTEKHAR HASAN

    Version of Record online : 16 AUG 2011, DOI: 10.1111/j.1538-4616.2011.00417.x

  7. Does risk aversion vary with decision-frame? An empirical test using recent game show data

    Review of Behavioral Finance

    Volume 1, Issue 1-2, September 2009, Pages: 44–61, Daniel Mulino, Richard Scheelings, Robert Brooks and Robert Faff

    Version of Record online : 21 AUG 2009, DOI: 10.1002/rbf.3

  8. Private Money and Banking Regulation

    Journal of Money, Credit and Banking

    Volume 47, Issue 6, September 2015, Pages: 1031–1062, CYRIL MONNET and DANIEL R. SANCHES

    Version of Record online : 25 AUG 2015, DOI: 10.1111/jmcb.12236

  9. Government interventions in banking crises: effects of alternative schemes on bank lending and risk taking

    Scottish Journal of Political Economy

    Volume 59, Issue 2, May 2012, Pages: 133–161, Diemo Dietrich and Achim Hauck

    Version of Record online : 2 MAR 2012, DOI: 10.1111/j.1467-9485.2011.00573.x

  10. A Theory of Bank Capital

    The Journal of Finance

    Volume 55, Issue 6, December 2000, Pages: 2431–2465, Douglas W. Diamond and Raghuram G. Rajan

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00296

  11. Models of stochastic choice and decision theories: why both are important for analyzing decisions

    Journal of Applied Econometrics

    Volume 25, Issue 6, September/October 2010, Pages: 963–986, Prof. Dr. Pavlo R. Blavatskyy and Ganna Pogrebna

    Version of Record online : 28 SEP 2009, DOI: 10.1002/jae.1116

  12. Goodbye Reykjavik: international banking centres and the global financial crisis

    Area

    Volume 43, Issue 2, June 2011, Pages: 173–182, Ben Derudder, Michael Hoyler and Peter Taylor

    Version of Record online : 5 AUG 2010, DOI: 10.1111/j.1475-4762.2010.00968.x

  13. ‘Country Rag Merchants’ and English Local Currencies in the Late Eighteenth and Early Nineteenth Century

    Journal of Law and Society

    Volume 42, Issue 4, December 2015, Pages: 588–610, Iain Frame

    Version of Record online : 8 NOV 2015, DOI: 10.1111/j.1467-6478.2015.00726.x

  14. Aggregate Investment Externalities and Macroprudential Regulation

    Journal of Money, Credit and Banking

    Volume 44, Issue s2, December 2012, Pages: 73–109, HANS GERSBACH and JEAN-CHARLES ROCHET

    Version of Record online : 18 DEC 2012, DOI: 10.1111/j.1538-4616.2012.00554.x

  15. James Bernoulli and Ars Conjectandi, 1713

    History of Probability and Statistics and Their Applications before 1750

    Anders Hald, Pages: 220–256, 2005

    Published Online : 28 JAN 2005, DOI: 10.1002/0471725161.ch15

  16. The Investment Banking Contract For New Issues Under Asymmetric Information: Delegation And The Incentive Problem

    The Journal of Finance

    Volume 35, Issue 5, December 1980, Pages: 1115–1138, DAVID P. BARON and BENGT HOLMSTRÖM

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1980.tb02199.x

  17. Auditing quality, signaling, and underwriting contracts

    Contemporary Accounting Research

    Volume 6, Issue 1, Fall 1989, Pages: 216–241, JOSEPH BACHAR

    Version of Record online : 20 APR 2010, DOI: 10.1111/j.1911-3846.1989.tb00754.x

  18. WHO REALLY WANTS TO BE A MILLIONAIRE? ESTIMATES OF RISK AVERSION FROM GAMESHOW DATA

    Journal of Applied Econometrics

    Volume 29, Issue 6, September/October 2014, Pages: 861–879, Roger Hartley, Gauthier Lanot and Ian Walker

    Version of Record online : 18 SEP 2013, DOI: 10.1002/jae.2353

  19. Liquidity Shortages and Banking Crises

    The Journal of Finance

    Volume 60, Issue 2, April 2005, Pages: 615–647, DOUGLAS W. DIAMOND and RAGHURAM G. RAJAN

    Version of Record online : 2 MAR 2005, DOI: 10.1111/j.1540-6261.2005.00741.x

  20. A Model of the Demand for Investment Banking Advising and Distribution Services for New Issues

    The Journal of Finance

    Volume 37, Issue 4, September 1982, Pages: 955–976, DAVID P. BARON

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1982.tb03591.x