Browsing Kandidatuppsatser i finansiell ekonomi by Title
Now showing items 70-89 of 160
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Hållbarhet och fondprestation
(2022-07-11)The purpose of this paper is to conduct research regarding fund performance based on Morningstar’s Sustainability Rating, with the aim of drawing conclusions about whether funds with high sustainability rating perform ... -
"Hållbarhet och Kapitalkostnad" - en studie på den svenska aktiemarknaden
(2021-06-29)This research paper investigates the relationship between the components of the ESG-score and the firm's cost of capital. The study is conducted on the Swedish stock market and includes all Swedish companies listed on the ... -
Hållbarhetsaspekter i investeringsbeslut
(2022-07-01)The purpose of this report is to examine whether institutional investors value sustainability in their investment decisions when investing on the leading indices of the Scandinavian market. The report performs panel data ... -
Hållbarhetsredovisning inom den svenska banksektorn -En innehållsanalys av hållbarhetsredovisning om mångfald och jämställdhet inom banksektorn
(2018-02-22)Bakgrund: Tryck från omvärlden har bidragit till ökat fokus hos banksektorn i fråga om mångfald och jämställdhet. Efterfrågan på information har lett till att publiceringen av hållbarhetsrapporter har eskalerat. Banker ... -
Hidden Values or Synergy Effects? What the Market Does Not See
(2021-06-30)The subject of bid premiums for public buyouts has been researched repeatedly as the premium itself can be hard to fully derive and could greatly affect both the acquirer and other investors involved. This thesis examines ... -
How Differences in Forecasted and Actual Values of Macroeconomic Indicators Influences the Stock Market.
(2022-07-01)The objective of this thesis is to analyse if macroeconomic announcements have a significant influence on the stock prices on the S&P 500 index. It is investigated by various correlation tests, descriptive statistics tables ... -
How does the market structure in a banking sector affect bank profitability during a financial crisis?
(2016-07-06)This thesis studies how profitability in both emerging and advanced economies is affected by market structure in a financial crisis. The country sample from Mirzaei, Moore, & Liu (2013) is used with a similar methodology, ... -
Högfrekvenshandels Inverkan på den Svenska Aktiemarknadens Volatilitet
(2019-07-08)The focus of this paper is to investigate whether or not high frequency trading affects market volatility. Research on the topic has not been conducted on the Swedish stock market which is the purpose of this thesis. ... -
Hur privatinvesterare påverkas av bankernas avståndstagande från Bitcoin
(2022-07-11)This study examines why Swedish banks don’t offer services linked to cryptocurrencies and how private investors are affected by this. Further, the study examines what risks a private person has to consider if they want to ... -
”I slutändan handlar det om avkastning” - En intervjustudie om hur EU-taxonomin påverkar fondförvaltares investeringsbeslut
(2021-06-23)The EU taxonomy is gradually being implemented by companies and fund managers. The taxonomy aims to provide a clear description of the concept of "sustainability" and thus counteract false sustainability marketing, otherwise ... -
Impact of ESG Score on Cost of Capital - Evidence from the Swedish Market
(2022-07-01)This paper aims to examine if there is a significant relationship between Swedish firms ESG scores and their financing costs. By constructing three regression models with WACC, cost of equity and cost of debt as the dependent ... -
The Influence of Payment Methods on Acquiror Stock Price in Mergers and Acquisitions Bachelor
(2023-07-04)This study is examining acquiror CAR on the day of announcement following acquisitions made by Swedish public companies. The study investigates whether the acquiror CAR differs between cash and stock based acquisitions. ... -
Initial Public Offerings in “Hot” and “Cold” Markets - A Study of the Swedish IPO market
(2020-08-10)This thesis aims to test if the IPO market differs in hot and cold market conditions in terms of industry clustering, firm characteristics, and long-run performance. The study is conducted on the Swedish IPO market ranging ... -
Institutional Investors' Influence on ESG Endeavours: A Study on the Nordic Market
(2022-07-01)This study examines whether institutional ownership has an effect on the ESG performance of firms on the Nordic market. In order to accomplish this, the study uses linear regression analysis. The final dataset which was ... -
Insynshandel som indikator på övervavkastning
(2019-07-09)The purpose of the thesis is to investigate whether it is possible to predict future excess returns at the Swedish stock market by observing the insiders' aggregate purchase transactions within the company. The study used ... -
Investigating the Nature of Retail Investor Activity
(2021-07-07)We study the nature of retail investor activity and how this differs when looking at pe-riods in connection with quarterly reports and when looking at a special period on the market like Covid-19. Further, we investigate ... -
Investing in Sustainable Stocks - An Empirical Evaluation of Large Public Companies in Sweden
(2018-07-09)This thesis investigates if investing in a sustainable index yields higher risk-adjusted returns than investing in an ordinary index. Return data from the Swedish stock index OMXS30 was collected, spanning the period ... -
Investing without conscience
(2022-07-11)The chase for maximum returns is a race every investor participates in. The number of investing strategies is almost equal to the number of investors, and everyone claims that their strategy is the best. Socially responsible ... -
Investment firm characteristics in venture capital
(2020-09-04)The private equity market is known for its lack of liquidity and information. This thesis aims at bringing further clarity to the private equity field, specifically targeting the relationship between firm size and risk in ... -
Is ESG Investing The Future? A Comparison Of Old And New Investment Strategies
(2023-07-03)This thesis researches whether investing in stocks with high ESG-scores is a viable investment strategy compared to investing in stocks with low PE-ratios. This has been done through first testing the relationship between ...