Sökning: "Capital Market Research"
Visar resultat 16 - 20 av 852 uppsatser innehållade orden Capital Market Research.
16. Challenges Encountered by Immigrant Dentists while Integrating into the Swedish Labour Market
Master-uppsats, Malmö universitet/Institutionen för Urbana Studier (US)Sammanfattning : Swedish workforce has a shortage of practitioner dentists in 18 regions which is expected to last until 2035 (Hall Hoppe, 2022). At the same time, immigrant dentists face many challenges that delay or prevent their integration into the Swedish labour market. LÄS MER
17. Sustainability performance and market risk. A study of the banking sector
Master-uppsats, Umeå universitet/FöretagsekonomiSammanfattning : The financial crisis of 2007-2008 highlighted the societal impacts of bank risk-taking. A strong focus on maximizing profits for shareholders combined with a disregard for, and underestimation of risks led to the downfall of large banks such as Lehman Brothers and multiple other banks getting bailed out by several governments and other banks. LÄS MER
18. När grodan kokas : En uppsats om handeln med musikkataloger
Kandidat-uppsats, Linnéuniversitetet/Institutionen för management (MAN)Sammanfattning : Music catalog trading has become something of a trend in recent years, with global stars selling their catalogs for millions of dollars. Industry players such as record labels and music publishers have traded catalogs and their underlying intellectual property rights between themselves for a long time but now resourceful venture capitalists have seen opportunities for returns, and have thus entered the market. LÄS MER
19. Flight to climate: liquidity commonality in brown equities
Master-uppsats, Stockholms universitet/Företagsekonomiska institutionenSammanfattning : Emerging ESG studies have established a negative equilibrium correlation between ESG factors and stock returns in an economy predominately influenced by investors with nonpecuniary preference over high ESG credentials. However, little research has delved into a potential systematic liquidity risk phenomenon associated with aggregate trading activities of ESG-motivated investors who share a common nonzero ESG preference component in their utility function. LÄS MER
20. An Analysis of the Swedish Real Estate Bond Market: Characteristics, Opportunities, and Risks : A combination of a qualitative and quantitative study
Master-uppsats, KTH/Fastighetsföretagande och finansiella systemSammanfattning : In the aftermath of the 2008 financial crisis, the debt capital market in Sweden experienced rapid growth, resulting in a doubling of its size. In recent years, real estate companies have become increasingly dependent on financing through the capital markets. LÄS MER