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OverviewThe book consists of five chapters and shows a research report in behavioral finance. It aims to provide a clear understanding of market incentives that causes managers to issue optimistic/pessimistic forecasts. Using a sample of companies listed in New York Stock Exchange, it is shown that reliability of management forecasts varies with the change in company's growth prospect. Full Product DetailsAuthor: Vahid BiglariPublisher: Supreme Century Imprint: Supreme Century Dimensions: Width: 15.20cm , Height: 1.70cm , Length: 22.90cm Weight: 0.426kg ISBN: 9781939123473ISBN 10: 193912347 Pages: 316 Publication Date: 22 November 2018 Audience: General/trade , General Format: Paperback Publisher's Status: Active Availability: Available To Order ![]() We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately. Table of ContentsReviewsAuthor InformationVahid Biglari (PhD, MSc, BSc, AFHEA) is a lecturer at The University of Newcastle (UoN) Singapore. He has more than ten years of combined experience in higher education teaching, research, and professional practice of corporate accounting and auditing. His areas of research interests and expertise include: human resources accounting; Big Data in accounting; financial reporting; transparency in financial markets. Tab Content 6Author Website:Countries AvailableAll regions |