Santa Clara University’s Meir Statman on Risk Tolerance
Published on December 29, 2009 at 9:02 pm
In the brief interview shown below, Professor Meir Statman of Santa Clara University’s Leavey School of Business discusses investor risk tolerance with Paul Kangas of Nightly Business Reports. Prof. Statman is a leading expert in the field of behavioral finance. We previously discussed one of Prof. Statman’s articles which appeared in the Wall Street Journal. For a list of his research articles, please click on this link.
Please note: The embedded video seems to require one or two minutes to load before the content can be played. For a transcript of the brief interview, please click on this link.
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Posted by Ravi Nagarajan
on Dec 29 2009. Filed under Investing.
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