Hersh Shefrin

Hersh ShefrinHersh Shefrin, who holds the Mario L. Belotti Chair in the Department of Finance at the Leavey School of Business, is one of the pioneers of behavioral finance. He has published widely in the area and writes for both academics and practitioners. Profssor Shefrin regularly teaches behavioral finance courses and often speaks on the subject to financial executives, portfolio managers, security analysts, risk managers, and financial planners both in the U.S. and abroad.
In 1999, his book, Beyond Greed and Fear: Understanding Behavioral Finance and the Psychology of Investing, was published by Harvard Business School Press. This is the first comprehensive treatment of behavioral finance written specifically for practitioners. In 2002, Oxford University Press, who assumed publication of the book, released an edition with a revised preface to reflect recent events and developments.
In 2001, Professor Shefrin edited a three-volume collection, entitled Behavioral Finance, published by Edward Elgar. In addition to seminal papers in this rapidly developing field, these volumes contain some of the pioneering works in psychology,
upon which behavioral finance is based.
In 2005, his book, A Behavioral Approach to Asset Pricing, was published by Elsevier. This is the first book to develop behavioral pricing kernel theory, thereby providing a unified, comprehensive behavioral approach to the main elements of asset pricing theory: stochastic discount factor, mean-variance portfolios, beta, option pricing, and the term structure of interest rates. A second edition of this book was published in 2008.
In 2008, after the publication of the first edition of this book, Professor Shefrin published a related book titled Ending the Management Illusion, which described how behavioral corporate finance could be taught using a simulation game. The gaming approach places students in a decision environment in which both their intellects and emotions are engaged. Students work together in groups, making decisions to run a simulated company, in a setting that provides them with an opportunity to identify their own psychological tendencies, the tendencies of others, and to develop processes and group cultures that mitigate their vulnerability to behavioral pitfalls.
In 2010, Professor Shefrin published a monograph titled Behavioralizing Finance. The monograph discusses both the strengths and weaknesses to the behavioral approach, and suggests some directions for strengthening the weaknesses. In 2016, Professor Shefrin published a book titled Behavioral Risk Management. As the title suggests, the book describes the applicability of behavioral concepts to risk management, suggesting that risk managers augment their quantitative skill sets to include psychological elements. Risk management is a very broad area, as most corporate finance textbooks make clear, and applies to corporate finance. Professor Shefrin's scholarly articles have appeared in the Journal of Finance, the Journal of Financial Economics, the Review of Financial Studies, the Journal of Financial and Quantitative Analysis, Financial Management, the Financial Analysts Journal, the Journal of Portfolio Management, and the Journal of Economic Behavior & Organization.
Professor Shefrin completed his PhD at the London School of Economics in the economics of uncertainty; he earned a Master of Mathematics from the University of Waterloo and a BS (Honours) in economics and mathematics from the University of Manitoba. He also holds an honorary doctorate from the University of Oulu, Finland.

Read More Read Less

16 results found
List viewGrid view
Sort By:
2.
Behavioralizing Finance33 %
Publisher: Now Publishers
No Review Yet
₹8,564
₹5,738
Binding:
Paperback
Release:
24 Mar 2010
Language:
English
Available
Ships within 2-4 Days Explain..
3.
Behavioral Risk Management37 %
Publisher: Palgrave MacMillan
No Review Yet
₹7,973
₹5,023
Binding:
Hardback
Release:
11 Jan 2016
Language:
English
Available
Ships within 12-14 Days Explain..
4.
Behavioral Economics and Politics of Global Warming6 % NR
No Review Yet
₹5,460
₹5,132
Binding:
Hardback
Release:
16 Nov 2023
Language:
English
International Edition
Ships within 14-16 Days Explain..
Free Shipping in India and low cost Worldwide.
5.
Behavioral Economics and Politics of Global Warming5 % NR
No Review Yet
₹1,848
₹1,756
Binding:
Paperback
Release:
30 Nov 2023
Language:
English
International Edition
Ships within 14-16 Days Explain..
Free Shipping in India and low cost Worldwide.
6.
Behavioral Approach to Asset Pricing19 % NR
International Edition
Ships within 18-20 Days Explain..
Free Shipping in India and low cost Worldwide.
7.
Behavioral Finance4 % NR
No Review Yet
₹97,732
₹93,823
Binding:
Hardback
Release:
26 Oct 2001
International Edition
Ships within 18-20 Days Explain..
Free Shipping in India and low cost Worldwide.
8.
Loose Leaf for Behavioral Corporate Finance23 % NR
No Review Yet
₹20,979
₹16,154
Binding:
Loose-leaf
Release:
13 Mar 2017
Language:
English
International Edition
Ships within 24-26 Days Explain..
Free Shipping in India and low cost Worldwide.
9.
Behavioral Corporate Finance23 % NR
No Review Yet
₹22,113
₹17,027
Binding:
Paperback
Release:
13 Mar 2017
Language:
English
International Edition
Ships within 24-26 Days Explain..
Free Shipping in India and low cost Worldwide.
10.
Global Financial Crisis and Its AftermathNR
International Edition
Ships within 12-14 Days Explain..
Free Shipping in India and low cost Worldwide.
11.
Behavioral Corporate Finance8 % NR
No Review Yet
₹6,571
₹6,045
Binding:
Paperback
Release:
16 Apr 2017
Language:
English
International Edition
Ships within 18-20 Days Explain..
Free Shipping in India and low cost Worldwide.
12.
Beyond Greed and FearNR
3.5 (11)
₹5,638
Binding:
Hardback
Release:
26 Sep 2002
Language:
English
Out of Stock
Notify me when this book is in stockNotify Me
13.
Behavioral Corporate Finance20 %
No Review Yet
₹8,583
₹6,866
Binding:
Paperback
Release:
18 Nov 2005
Language:
English
Out of Stock
Notify me when this book is in stockNotify Me
14.
Behavioral Risk Management13 % NR
Publisher: Palgrave MacMillan
No Review Yet
₹4,465
₹3,875
Binding:
Paperback
Release:
08 Jan 2019
Out of Stock
Notify me when this book is in stockNotify Me
16.
Ending the Management Illusion: How to Drive Business Results Using the Principles of Behavioral Finance25 % NR
No Review Yet
₹3,192
₹2,399
Binding:
Hardback
Release:
01 May 2008
Language:
English
Out of Stock
Notify me when this book is in stockNotify Me
No more records found