Recent Research Publications

LAB PUBLICATIONS: 2023 – 2024 Journal Articles

Kwak, E. J. & Grable, J. E. (2024). A comparison of financial risk-tolerance assessment methods in predicting subsequent risk tolerance and future portfolio choices. Risks, 12(11), 170: https://doi.org/10.3390/risks12110170
Lehrer, P., Derby, L., Caswell, J. S., Grable, J., & Hanlon, R. (2024). Physiological effects of psychological interventions among persons with financial stress: A systematic review, meta-analysis, and introduction to psychophysiological economics. Applied Psychophysiology and Biofeedback, 1-19. https://doi.org/10.1007/s10484-024-09658-x
Heo, W., Kwak, E-J., Grable, J. E., & Park, H-J. (2024). Ownership for cash value life insurance among rural household: Utilization of machine learning algorithm to find the predictors. Mathematics, 12(6). https://doi.org/10.3390/math12162467
Grable, J. E., Archuleta, K., Watkins, K., & Kwak, E-J. (2024). To bank or not to bank: Describing the banking status of black households. International Journal of Bank Marketing. 10.1108/IJBM-12-2023-0641
Grable, J., Rabbani, A., & Heo, W. (2024). The complementary nature of financial risk aversion and financial risk tolerance. Risks, 12(7), 109.
Heo, W., Kim, E., Kwak, E-J., Grable, J. E. (2024). Identifying hidden factors associated with household emergency fund holdings: A machine learning application. Mathematics, 12(2), 182. doi.org/10.3390/math1s0s0182
Kruger, M., Grable, J. E., Palmer, L, & Goetz, J. (2024). Factors associated with couples pooling their finances. Contemporary Family Therapy, 46(1), 8-20. doi.10.1007/s10591-023-09666-9
Moon, K., Heo, W., Lee, J. M., & Grable, J. E. (2023). Financial stress and COVID-19: A comprehensive analysis of the factors associated with the pandemic. Risks, 11(12), 218. doi.org/10.3390/risks11120218
Grable, J. E., Kwak, E-J., & Archuleta, K. (2023). Distrust of banks among the unbanked and banked. International Journal of Bank Marketing, 41(6), 1498-1520.
Grable, J. E., & Rabbani, A. (2023). The moderating effect of financial knowledge on financial risk tolerance. Journal of Risk and Financial Management, 16(2), 137. doi.org/10.3390/jrfm16020137