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Behavioural Finance Assignment Help, Cognitive Biases, Prospect Theory, and Market Anomalies

Behavioural finance assignments require you to bridge cognitive psychology and financial economics. Whether you are applying prospect theory to explain observed investor behaviour, analysing a specific market anomaly, or critiquing the assumptions of rational agent models, your essay needs to demonstrate command of both the psychological evidence and the financial implications.

Behavioural finance essays reward students who can situate specific psychological biases within the broader debate about market efficiency. An essay on overconfidence that only describes the bias without connecting it to trading volume anomalies, excess return volatility, or the failure of arbitrage to correct mispricing has not fully engaged with the finance literature.

Our behavioural finance mentors hold MSc Finance, MSc Economics with behavioural specialisations, and PhD degrees from institutions. Their research backgrounds span experimental economics, investor psychology, and empirical asset pricing.

We cover all major topics in behavioural finance: prospect theory, mental accounting, heuristics and biases, limits to arbitrage, investor sentiment, herding, and behavioural corporate finance. We also support dissertation research on topics including survey-based measures of investor sentiment and lab experiments on financial decision-making.

Modules we cover

Prospect Theory and Loss Aversion
Heuristics and Biases
Market Anomalies
Limits to Arbitrage
Investor Sentiment
Behavioural Corporate Finance

Sample essay topics we've supported

  • Loss aversion and the disposition effect: evidence from individual investor trading data
  • Overconfidence, excessive trading, and the equity premium puzzle
  • Can noise trader models explain the January effect?

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