@incollection{, B6B99EDB11E897C051F8922A35A9DB0E , author={{NabilSifouh} and {Et KhdijaOubal}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}2013139 } @incollection{b0, , title={{Capital market equilibrium with restricted borrowing}} , author={{ FBlack }} , journal={{The Journal of business}} 45 3 , year={1972} } @incollection{b1, , title={{Long-range dependence and market structure}} , author={{ DOCajueiro } and { BMTabak }} , journal={{Chaos, Solitons & Fractals}} 31 4 , year={2007} } @incollection{b2, , title={{An examination of herd behavior in equity markets: an international perspective}} , author={{ ECChang } and { JWCheng } and { AKhorana }} , journal={{Journal of Banking and Finance}} 24 , year={2000} } @incollection{b3, , title={{Tests de l'efficience du marché financier marocain}} , author={{ F &Chiny } and { AMir }} , journal={{Global Journal of Management and Business Research: C Finance}} , year={2015} } @incollection{b4, , title={{Following the pied piper: Do individual returns herd around the market?}} , author={{ WGChristie } and { RDHuang }} , journal={{Financial Analysts Journal}} , year={1995} } @incollection{b5, , title={{Investor psychology and security market under-and over reactions}} , author={{ KDaniel } and { DHirshleifer } and { ASubrahmanyam }} , journal={{the Journal of Finance}} 53 6 , year={1998} } @incollection{b6, , title={{Bank runs, deposit insurance, and liquidity}} , author={{ DWDiamond } and { PHDybvig }} , journal={{Journal of political economy}} 91 3 , year={1983} } @incollection{b7, , title={{Likelihood ratio statistics for autoregressive time series with a unit root}} , author={{ DADickey } and { WAFuller }} , journal={{Econometrica: journal of the Econometric Society}} , year={1981} } @incollection{b8, , title={{« Essai sur L'efficience informationnelle du marché boursier marocain}} , author={{ ElKhattab } and { YCMoudine }} , journal={{Global Journal of Management and Business Research}} 14 , year={2014} , note={Finance} } @incollection{b9, , title={{Efficient Capital Markets: a Review of Theory and Empirical Work}} , author={{ EFama }} , journal={{Journal of Finance}} 25 , year={1970} } @incollection{b10, , title={{Learning to be over confident}} , author={{ SGervais } and { TOdean }} , journal={{Review of Financial Studies}} 14 , year={2001} } @incollection{b11, , title={{Banking panics and business cycles}} , author={{ GGorton }} , journal={{Oxford economic papers}} 40 4 , year={1988} } @book{b12, , title={{Mimétisme et marchés financiers européens}} , author={{ SHassairi }} , year={2008. 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