Sökning: "CSR and risk"
Visar resultat 16 - 20 av 179 uppsatser innehållade orden CSR and risk.
16. Impact of ESG performance and carbon emissions on cost of debt : A study of the Nordic markets
Master-uppsats, Uppsala universitet/Företagsekonomiska institutionenSammanfattning : The study examines the link between the Environmental, Social and Governance (ESG) performance of a company and its cost of debt, measured as credit spreads between corresponding corporate and risk-free government bonds, in Nordic countries between 2020 and 2022. No previous studies look at ESG effects on bond spreads in the Nordic markets, although their stakeholder-oriented nature could make them attentive to ESG issues. LÄS MER
17. From rags to riches - An explorative study of the technological influence within modern retail investor behavior
Master-uppsats, Göteborgs universitet/Graduate SchoolSammanfattning : Swedish citizens have a long background of passively investing in stocks and mutual funds. With the rise of new technologies, an ongoing surge of retail investors actively participating in the financial markets have been identified. LÄS MER
18. PPA Greenwashing or Financial Incentives for Investments in Offshore Wind Power? A qualitative study on power purchasing agreement and its effect on investment decisions and corporate image in the offshore wind power industry
Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionenSammanfattning : The government of Sweden is currently looking to expand one of the unexploited natural resources, offshore wind. Offshore wind power has for several years been stagnated in terms of production, and the funding of projects has been one of the major issues. Getting bank loans with a lower interest rate demands a steady cash-flow. LÄS MER
19. Swedish MNEs’ risk, void, and distance management : A thematic content analysis of three MNEs’ 2007 to 2021 annual and CSR reports.
Kandidat-uppsats, Jönköping University/Internationella HandelshögskolanSammanfattning : In this study, we have identified a gap in the existing literature regarding post-entry management of infrastructural and institutional voids, risks, and distances related to establishing foreign operations in uncertain markets. It is in existing literature well-established how firms internationalize their operations, what entry modes they use, and what the drivers for internationalizing one's operations are. LÄS MER
20. Exploring the relationship between ESG and portfolio performance during times of crisis : a study of the Russia-Ukraine war
Kandidat-uppsats, Stockholms universitet/FinansieringSammanfattning : This thesis explores the relationship between Environmental, Social, and Governance (ESG) ratings and portfolio performance in terms of risk-adjusted returns and volatility during times of crisis. A sample of 761 European public companies with a market capitalisation of at least 300 million euros are divided into high and low ESG portfolios based on their ratings. LÄS MER