Sökning: "Institutional investors"

Visar resultat 1 - 5 av 174 uppsatser innehållade orden Institutional investors.

  1. 1. Relationship between Real Estate Industry and Stock Market in China

    Master-uppsats, Jönköping University/IHH, Nationalekonomi

    Författare :Zeyu Di; [2020]
    Nyckelord :real estate; stock market; causal relationship; asset allocation; economic area; portfolio; Chinese provinces;

    Sammanfattning : Each individual is both a consumer and an investor in the market. It is the common goal of every investor to achieve a high return on investment through the portfolio of profit maximization. As a result, the ratio of assets in a portfolio has become a hot topic. LÄS MER

  2. 2. Board composition and CSR performance is Swedish Listed firms : Board insiders, ownership concentration and CSR performance

    Magister-uppsats, Linnéuniversitetet/Institutionen för nationalekonomi och statistik (NS); Linnéuniversitetet/Institutionen för nationalekonomi och statistik (NS); Linnéuniversitetet/Institutionen för nationalekonomi och statistik (NS)

    Författare :Umer Adeel; Francisca Fonkeng Awung; Mehwish Haider; [2020]
    Nyckelord :Board composition; Corporate social Responsibility; insiders; ownership concentration;

    Sammanfattning : It is no longer surprising that attention paid to corporate social responsibility (CSR) has increased lately, which could be due to the fact that firms action have negative or positive impacts on their stakeholders–employees, customers, investors, suppliers and community. It is the board responsibility to ensure firms pay attention to CSR matters, therefore, board composition will relatively play significant role in CSR implementation. LÄS MER

  3. 3. Institutionellt ägande och volatilitet

    Kandidat-uppsats, Uppsala universitet/Företagsekonomiska institutionen; Uppsala universitet/Företagsekonomiska institutionen

    Författare :Pietari Panhelainen; Arvid Särkiniemi; [2020]
    Nyckelord :Volatility; Institutional Ownership; Dividends; Breadth of Ownership; Volatilitet; Institutionellt ägande; Utdelning; Breadth of ownership;

    Sammanfattning : Vi undersöker sambandet mellan volatilitet och institutionell breadth of ownership på Stockholmsbörsen mellan 2010 och 2018. Denna undersökning är unik eftersom vi använder breadth of ownership som mått på institutionellt ägande. LÄS MER

  4. 4. Carb-on or Carb-off? : Carbon-intensive stocks' performance in an age of socially responsible investing

    C-uppsats, Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi

    Författare :Fredrik Westergård; August Wigh; [2020]
    Nyckelord :carbon stocks; carbon-intensive stocks; emission stocks; socially responsible investing; sin investing;

    Sammanfattning : This study investigates the performance of carbon-intensive stocks in the United States and provides evidence of abnormal returns between 2000 and 2019. However, these abnormal returns are isolated to the period 2000 to 2002 which coincides with the Dot-com crash. LÄS MER

  5. 5. Rebalancing 2.0-A Macro Approach to Portfolio Rebalancing

    Master-uppsats, KTH/Matematisk statistik

    Författare :Rawand Sultani; [2020]
    Nyckelord :Statistics; Applied Mathematics; Financial Mathematics; Rebalancing; Asset Allocation; Monte-Carlo; Backtesting; Makro; Statistik; Tillämpad matematik; Finansiell matematik; Rebalansering; Tillgångsallokering; Monte-Carlo; Backtesting; Makro;

    Sammanfattning : Portfolio rebalancing has become a popular tool for institutional investors the last decade. Adaptive asset allocation, an approach suggest by William Sharpe is a new approach to portfolio rebalancing taking market capitalization of asset classes into consideration when setting the normal portfolio and adapting it to a risk profile. LÄS MER