Risk Profiling through a Behavioral Finance Lens Risk Profiling through a Behavioral Finance Lens
Research Foundation Briefs

Risk Profiling through a Behavioral Finance Lens

Description de l’éditeur

This piece examines risk profiling through a behavioral finance lens. Behavioral finance attempts to understand and explain actual investor behavior, in contrast to theorizing about investor behavior. It differs from traditional (or standard) finance, which is based on assumptions of how investors and markets should behave. Much has been written about the tension that exists between the willingness to take risk and the ability to take risk. Risk appetite is the willingness to take risk and risk capacity is the ability to take risk. In the behavioral context, risk appetite and risk capacity are defined in terms of known risks and unknown risks. Irrational client behavior often occurs when a client experiences unknown risks. To aid in the advisory process, advisors can use Behavioral Investor Types to help make rapid yet insightful assessments of what type of investor they are dealing with before recommending an investment plan. With a better understanding of behavioral finance vis-à-vis risk taking, practitioners can enhance their understanding of client preferences and better inform their recommendations of investment strategies and products.

GENRE
Entreprise et management
SORTIE
2016
29 février
LANGUE
EN
Anglais
LONGUEUR
22
Pages
ÉDITIONS
CFA Institute Research Foundation
TAILLE
457,5
Ko

Plus de livres similaires

Risk Profiling and Tolerance: Insights for the Private Wealth Manager Risk Profiling and Tolerance: Insights for the Private Wealth Manager
2018
Behavioural Finance for Small Investors Behavioural Finance for Small Investors
2018
Behavioral Finance and Wealth Management Behavioral Finance and Wealth Management
2011
Investor Risk Profiling: An Overview Investor Risk Profiling: An Overview
2015
DIY Financial Advisor DIY Financial Advisor
2015
Behavioral Finance: The Second Generation Behavioral Finance: The Second Generation
2019

D’autres ont aussi acheté

Financial Risk Tolerance: A Psychometric Review Financial Risk Tolerance: A Psychometric Review
2017
New Vistas in Risk Profiling New Vistas in Risk Profiling
2017
Portfolio Structuring and the Value of Forecasting Portfolio Structuring and the Value of Forecasting
2016
Investor Risk Profiling: An Overview Investor Risk Profiling: An Overview
2015
Rethinking the Equity Risk Premium Rethinking the Equity Risk Premium
2011
Trading and Electronic Markets: What Investment Professionals Need to Know Trading and Electronic Markets: What Investment Professionals Need to Know
2015

Autres livres de cette série

FinTech and RegTech in a Nutshell, and the Future in a Sandbox FinTech and RegTech in a Nutshell, and the Future in a Sandbox
2017
Financial Risk Tolerance: A Psychometric Review Financial Risk Tolerance: A Psychometric Review
2017
New Vistas in Risk Profiling New Vistas in Risk Profiling
2017
Asian Structured Products Asian Structured Products
2017
Annuities and Retirement Income Planning Annuities and Retirement Income Planning
2016
New Vistas in Risk Profiling New Vistas in Risk Profiling
2017