Respected Neeraj Sir and other group members
I need suggestions regarding my hypothesis statements for my thesis study in Behavioral Finance. My independent variable cnstitutes behavioral biases, for which I have 13 different constructs, measured with a 5 point likert scale. These constructs fall into 3 categories, heuristics, cognitive biases and emotional biases. My dependent variable is categorical with 2 questions, one for short term decisions and other for long term decisions. Each question provides 3 categories based on risk-return preferences of investors. I also have 2 moderating variables measured on likert scale.
My query is how should I prepare my hypothesis based on the above?
One school of thought says that I can take all behavioral biases together and measure the effect of ‘psychological biases’ on investment decisions, which will have 2 direct hypothesis, totaling 6 hypothesis for full study, including moderation.
Other school of thought says that I take each group separately (heuristics, cognitive biases and emotional biases), which will have 18 hypothesis for full study, including moderation effect.
Please suggest what I should do, out of these two options or any better alternative, considering the right approach and keeping feasibility in mind.
Kind Regards
Jaspreet Kaur
Research Scholar
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