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Maxime Merli
Maxime Merli
Verified email at unistra.fr
Title
Cited by
Cited by
Year
Overconfidence, risk perception and the risk-taking behavior of finance professionals
MH Broihanne, M Merli, P Roger
Finance Research Letters 11 (2), 64-73, 2014
1722014
What drives the herding behavior of individual investors?
M Merli, T Roger
Finance 34 (3), 67-104, 2013
1042013
Finance comportementale
MH Broihanne, M Merli, P Roger
Economica, 2004
742004
Gestion des risques et institutions financières
J Hull, C Godlewski, M Merli
Pearson Education France, 2010
722010
Disposition effect, investor sophistication and taxes: Some French Specificities
S Boolell-Gunesh**, MH Broihanne**, M Merli**
Finance 30 (1), 051-078, 2009
402009
What drives retail portfolio exposure to ESG factors?
C D’hondt, M Merli, T Roger
Finance Research Letters 46, 102470, 2022
332022
Le comportement des investisseurs individuels 1
MH Broihanne, M Merli, P Roger
Revue française de gestion, 145-168, 2005
302005
Repurchase behavior of individual investors, sophistication and regret
C Magron, M Merli
Journal of Banking & Finance 61, 15-26, 2015
242015
An optimal world portfolio on the eve of world war I: Was there a bias to investing in the New World rather than in Europe?
C Edlinger, M Merli, A Parent
The journal of economic history 73 (2), 498-530, 2013
242013
Sophistication of individual investors and disposition effect dynamics
S Boolell-Gunesh**, MH Broihanne, M Merli***
Finance 33 (1), 9-37, 2012
212012
Diversification, gambling and market forces
MH Broihanne, M Merli, P Roger
Review of Quantitative Finance and Accounting 47, 129-157, 2016
182016
Théorie comportementale du portefeuille: intérêt et limites
MH Broihanne, M Merli, P Roger*
Revue économique 572 (2), 297-314, 2006
182006
Solving some financial puzzles with prospect theory and mental accounting: A survey
MH Broihanne, M Merli, P Roger 1
Revue d'économie politique 118 (4), 475-512, 2008
142008
What drives the herding behavior of individual investors? Finance, 34 (3), 67–104
M Merli, T Roger
72013
La diversification des portefeuilles français à la veille de 1914 ou l’image écornée du rentier français du 19 e siècle
C Edlinger#, M Merli, A Parent#
Revue d'économie politique, 915-934, 2011
72011
Do retail investors bite off more than they can chew? A close look at their return objectives
C D’Hondt, R De Winne, M Merli
Journal of Economic Behavior & Organization 188, 879-902, 2021
62021
Are french individual investors reluctant to realize their losses?
S Boolell-Gunesh, MH Broihanne, M Merli
Working Papers of LaRGE Research Center, 2008
62008
Gestion des risques et institutions financières, 3éd.
J Hull, C GODLEWSKI, M MERLI
Pearson, Montreuil, 2012
52012
Notations et écarts de rentabilité: le marché français avant l'euro
H Alexandre, M Merli
Finance Contrôle Stratégie 6 (3), 2003
52003
Financial Diversification before WW1: A Risk/Return Analysis of Portfolio’s Advice of French Financial Analyst Alfred Neymarck
C Edlinger, M Merli, A Parent
Working Papers of LaRGE Research Center, 2018
42018
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