How the Eurozone debt crisis affects markets
11 January 2012
"It's a cauldron of emotions we're dealing with . . . fundamentally it's all about anxiety and lack of trust." (extract from article on Reuter's international website).
Professor Richard Taffler, WBS Professor of Accounting & Finance, comments on the ongoing Eurozone debt crisis and how it is affecting the markets in a report on the international Reuters website.
Richard's research includes work to develop the new paradigm of emotional finance to complement traditional and behavioural perspectives, and which focuses on the role of the emotions and the unconscious in investment decisions and market behaviour.