Patterns of behavior of professionally managed and independent investors Z Shapira, I Venezia Journal of Banking & Finance 25 (8), 1573-1587, 2001 | 983 | 2001 |
Equilibrium loan pricing under the bank-client relationship SI Greenbaum, G Kanatas, I Venezia Journal of Banking & Finance 13 (2), 221-235, 1989 | 542 | 1989 |
Firm specific and macro herding by professional and amateur investors and their effects on market volatility I Venezia, A Nashikkar, Z Shapira Journal of Banking & Finance 35 (7), 1599-1609, 2011 | 215 | 2011 |
Size and frequency of prizes as determinants of the demand for lotteries Z Shapira, I Venezia Organizational Behavior and Human Decision Processes 52 (2), 307-318, 1992 | 75 | 1992 |
On the behavioral differences between professional and amateur investors after the weekend I Venezia, Z Shapira Journal of Banking & Finance 31 (5), 1417-1426, 2007 | 58 | 2007 |
On the statistical origins of the learning curve I Venezia European Journal of Operational Research 19 (2), 191-200, 1985 | 58 | 1985 |
Optimal strike prices of stock options for effort-averse executives O Palmon, S Bar-Yosef, RR Chen, I Venezia Journal of Banking & Finance 32 (2), 229-239, 2008 | 52 | 2008 |
Making trade-offs between job attributes Z Shapira Organizational Behavior and Human Performance 28 (3), 331-355, 1981 | 51 | 1981 |
Experimental tests of self-selection and screening in insurance decisions Z Shapira, I Venezia The Geneva Papers on Risk and Insurance Theory 24, 139-158, 1999 | 35 | 1999 |
A mean variance approach to the optimal machine maintenance and replacement problem CS Tapiero, I Venezia Journal of the Operational Research Society 30 (5), 457-466, 1979 | 35 | 1979 |
Exclusive vs. independent agents: a separating equilibrium approach I Venezia, D Galai, Z Shapira Journal of Economic Behavior & Organization 40 (4), 443-456, 1999 | 34 | 1999 |
The optimal duration of growth investments and search I Venezia, M Brenner Journal of Business, 393-407, 1979 | 33 | 1979 |
On the Relationship between Accounting Risk and Return: Is There a (B owman) P aradox? IE Brick, O Palmon, I Venezia European Management Review 12 (2), 99-111, 2015 | 30 | 2015 |
Optional stopping on nonstationary series Z Shapira, I Venezia Organizational Behavior and Human Performance 27 (1), 32-49, 1981 | 28 | 1981 |
Partial exercise of loan commitments under adaptive pricing SI Greenbaum, I Venezia Journal of Financial Research 8 (4), 251-263, 1985 | 27 | 1985 |
An experimental study of overconfidence in accounting numbers predictions S Bar-Yosef, I Venezia International Journal of Economic Sciences 3 (1), 78, 2014 | 26 | 2014 |
Determinants of management styles in business and nonbusiness organizations. G Chitayat, I Venezia Journal of Applied Psychology 69 (3), 437, 1984 | 25 | 1984 |
The effects of inflation and taxes on growth investments and replacement policies M Brenner, I Venezia The Journal of Finance 38 (5), 1519-1528, 1983 | 24 | 1983 |
Earnings information and the determination of dividend policy S Bar-Yosef, I Venezia Journal of Economics and Business 43 (3), 197-214, 1991 | 20 | 1991 |
Optimal claims in automobile insurance I Venezia, H Levy The Review of Economic Studies 47 (3), 539-549, 1980 | 19 | 1980 |