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The Capital Asset Pricing Model in the 21st Century: Analytical, Empirical, and Behavioral Perspectives

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The Capital Asset Pricing Model in the 21st Century: Analytical, Empirical, and Behavioral Perspectives

by Haim Levy

About this title: The Capital Asset Pricing Model (CAPM) and the mean-variance (M-V) rule, which are based on classic expected utility theory, have been heavily criticized theoretically and empirically. The advent of behavioral economics, prospect theory and other psychology-minded approaches in finance challenges the rational investor model from which CAPM and M-V derive. Haim Levy argues that the tension between the classic financial models and behavioral economics approaches is more apparent than real. This book aims to relax the tension ... read more

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