Santa Clara University’s Meir Statman on Risk Tolerance

Published on December 29, 2009

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.

Santa Clara University’s Meir Statman on Risk Tolerance
Tagged on: