Cite
HARVARD Citation
Michailova, J. et al. (2016). Overconfidence and Bubbles in Experimental Asset Markets. Journal of behavioral finance. 17 (3), pp. 280-292. [Online].
This is an interim version of our Electronic Legal Deposit Catalogue-eJournals and eBooks while we continue to recover from a cyber-attack.
Michailova, J. et al. (2016). Overconfidence and Bubbles in Experimental Asset Markets. Journal of behavioral finance. 17 (3), pp. 280-292. [Online].