Behavioural Finance and Investment strategies

Module code: MN3138

Over recent decades, the standard finance theory which is based on the efficient markets hypothesis and the rational choice model has been heavily criticised. The behavioural finance approach, based on the ideas and findings from psychology and neuroeconomics, challenges those traditional theories and presents an alternative.

Learning

  • 20 hours of lectures
  • 8 hours of seminars
  • 122 hours of guided independent study

Assessment

  • Coursework (100%)