940
Views
21
CrossRef citations to date
0
Altmetric
ARTICLES

The Behavior of Institutional and Retail Investors in Bursa Malaysia during the Bulls and Bears

, &
Pages 104-115 | Published online: 29 May 2013

Keep up to date with the latest research on this topic with citation updates for this article.

Read on this site (2)

Mohammad Tariqul Islam Khan, Siow-Hooi Tan & Lee-Lee Chong. (2019) Overconfidence Mediates How Perception of past Portfolio Returns Affects Investment Behaviors. Journal of Asia-Pacific Business 20:2, pages 140-161.
Read now
Khalil Al-Hilu, A. S. M. Sohel Azad, Abdelaziz Chazi & Ashraf Khallaf. (2017) Investors’ Behavior in an Emerging, Tax-Free Market. Emerging Markets Finance and Trade 53:7, pages 1573-1588.
Read now

Articles from other publishers (19)

Henry Infant Sebastian Paul & Natarajan Sundaram. (2023) Behavioral Biases and their Influence on Investment Decision-Making: A Systematic Literature Review and Future Research Agenda. Journal of Law and Sustainable Development 11:4, pages e904.
Crossref
Neha Arora & Brijesh K. Mishra. (2022) Influence of bull and bear market phase on financial risk tolerance of urban individual investors in an emerging economy. Review of Behavioral Finance 15:4, pages 570-591.
Crossref
Dazhi Zheng, Huimin Li & Fengyun Li. (2023) Capital gain overhang and risk–return trade‐off: An international study. Journal of Financial Research.
Crossref
Linh Thi My Nguyen & Phong Thanh Nguyen. (2023) Do crypto investors wait and see during policy uncertainty? An examination of the dynamic relationships between policy uncertainty and exchange inflows of Bitcoin. Review of Behavioral Finance.
Crossref
Rafał Wolski, Monika Bolek, Jerzy Gajdka, Janusz Brzeszczyński & Ali M. Kutan. (2023) Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland. Qualitative Research in Financial Markets.
Crossref
Dipanwita Chakraborty, Neeraj Gupta, Jitendra Mahakud & Manoj Kumar Tiwari. (2022) Corporate governance and investment decisions of retail investors in equity: do group affiliation and firm age matter?. Managerial Auditing Journal 38:1, pages 1-34.
Crossref
Jinesh Jain, Nidhi Walia, Simarjeet Singh & Esha Jain. (2021) Mapping the field of behavioural biases: a literature review using bibliometric analysis. Management Review Quarterly 72:3, pages 823-855.
Crossref
Nektarios Gavrilakis & Christos Floros. (2021) The impact of heuristic and herding biases on portfolio construction and performance: the case of Greece. Review of Behavioral Finance 14:3, pages 436-462.
Crossref
Luke Lin & Wen‐Yuan Lin. (2021) Stock Return Autocorrelations: Evidence from the Asia‐Pacific Stock Markets. Asia-Pacific Journal of Financial Studies 50:4, pages 441-465.
Crossref
Haruna Babatunde Jaiyeoba, Moha Asri Abdullah & Khairunisah Ibrahim. (2019) Institutional investors vs retail investors. International Journal of Bank Marketing 38:3, pages 671-691.
Crossref
L. D. Zubkova, S. M. Dyachkov & I. B. Maksimov. 2019. Global Economics and Management: Transition to Economy 4.0. Global Economics and Management: Transition to Economy 4.0 243 250 .
Suman Gupta, Vinay Goyal, Vinay Kumar Kalakbandi & Sankarshan Basu. (2018) Overconfidence, trading volume and liquidity effect in Asia’s Giants: evidence from pre-, during- and post-global recession. DECISION 45:3, pages 235-257.
Crossref
Rupali Misra Nigam, Sumita Srivastava & Devinder Kumar Banwet. (2018) Behavioral mediators of financial decision making – a state-of-art literature review. Review of Behavioral Finance 10:1, pages 2-41.
Crossref
L. D. Zubkova & S. M. D’yachkov. (2018) Industry Investment Analysis of Activities of Russian Telecommunications Companies. Studies on Russian Economic Development 29:2, pages 182-190.
Crossref
Jordan French. (2017) Asset pricing with investor sentiment: On the use of investor group behavior to forecast ASEAN markets. Research in International Business and Finance 42, pages 124-148.
Crossref
Mohammad Tariqul Islam Khan, Siow-Hooi Tan & Lee-Lee Chong. (2017) Information sources and investing decisions – a path modeling approach. Managerial Finance 43:8, pages 928-947.
Crossref
Zamri Ahmad, Haslindar Ibrahim & Jasman Tuyon. (2017) Behavior of fund managers in Malaysian investment management industry. Qualitative Research in Financial Markets 9:3, pages 205-239.
Crossref
Selim Aren, Sibel Dinç Aydemir & Yasin Şehitoğlu. (2016) Behavioral biases on institutional investors: a literature review. Kybernetes 45:10, pages 1668-1684.
Crossref
Jasman Tuyon & Zamri Ahmad. (2016) Behavioural finance perspectives on Malaysian stock market efficiency. Borsa Istanbul Review 16:1, pages 43-61.
Crossref

Reprints and Corporate Permissions

Please note: Selecting permissions does not provide access to the full text of the article, please see our help page How do I view content?

To request a reprint or corporate permissions for this article, please click on the relevant link below:

Academic Permissions

Please note: Selecting permissions does not provide access to the full text of the article, please see our help page How do I view content?

Obtain permissions instantly via Rightslink by clicking on the button below:

If you are unable to obtain permissions via Rightslink, please complete and submit this Permissions form. For more information, please visit our Permissions help page.