Vrije Universiteit Amsterdam (VU) • Risk Management for Financial Institutions
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Courses Risk Management for Financial Institutions at Vrije Universiteit Amsterdam (VU)
Notes available for the following courses of Risk Management for Financial Institutions at Vrije Universiteit Amsterdam (VU)
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Behavioral Finance and Real Estate 1
Latest content Vrije Universiteit Amsterdam (VU) • Risk Management for Financial Institutions
This document provides a complete and structured summary of the Behavioral Finance course, covering all major theories and concepts from the lectures. Topics include cognitive biases, heuristics, overconfidence, bounded awareness, framing effects, decision-making processes, fairness, and negotiation behavior. Each chapter explains key principles, examples, and managerial implications, making it ideal for exam preparation and concept review.
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Vrije Universiteit Amsterdam•Behavioral Finance and Real Estate
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Judgment in Managerial Decision Making, 8th Edition • Max H. Bazerman, Don A. Moore• ISBN 9781118475959
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This document provides a complete and structured summary of the Behavioral Finance course, covering all major theories and concepts from the lectures. Topics include cognitive biases, heuristics, overconfidence, bounded awareness, framing effects, decision-making processes, fairness, and negotiation behavior. Each chapter explains key principles, examples, and managerial implications, making it ideal for exam preparation and concept review.