Tytuł pozycji:
Globalny kryzys finansowy XXI wieku w ujęciu finansów behawioralnych
The article focuses on the behavioral aspects of the 21st century financial crisis. It discusses what psychological factors (both individual and social), in addition to a number of other factors, could contribute significantly to generating market shocks reaching a global scale. Among identified behavioral categories, in particular, one can find extrapolation bias, overconfidence, excessive optimism, herd behavior, and informational cascades