Sökning: "banking market"

Visar resultat 1 - 5 av 380 uppsatser innehållade orden banking market.

  1. 1. Banking sector performance amid crisis : A study on the impact of quantitative easing on bank stock returns in the US during COVID-19

    Magister-uppsats, Jönköping University/IHH, Företagsekonomi

    Författare :Barbara Eyram Ephraim; [2023]
    Nyckelord :bank performance; bank stock returns; monetary policy; quantitative easing;

    Sammanfattning : It is widely accepted that banks are one of the most significant financial intermediaries in any economy, facilitating the flow of capital between savers and borrowers. While this may be the case in many advanced economies, including the US, little research has been done on how the quantitative easing (QE) program of central banks affects bank performance. LÄS MER

  2. 2. Svenska Bankers Prognosutveckling för Kreditförluster under Införandet av IFRS 9 : En kvantitativ studie av redovisningsstandardens inverkan på svenska banker

    Kandidat-uppsats, Södertörns högskola

    Författare :Nour Al-Fakhoury; Nour-Eddin Shaker; [2023]
    Nyckelord :IFRS 9; Förväntade kreditförluster; konstaterade kreditförluster; svenska banker; medelstora banker; små banker;

    Sammanfattning : This study examines the impact of the transition from IAS 39 to IFRS 9 on the credit loss forecasting ability of banks, and its implications for value relevance. The implementation of IFRS 9 brought about a shift from the Incurred Credit Loss (ICL) model to the Expected Credit Loss (ECL) model, emphasizing forward-looking information. LÄS MER

  3. 3. Sustainability performance and market risk. A study of the banking sector

    Master-uppsats, Umeå universitet/Företagsekonomi

    Författare :Arvid Särkiniemi; Oskar Lindman; [2023]
    Nyckelord :risk; market risk; sustainability performance; corporate management; bank management; CSR; panel data; parametric VaR; non-parametric VaR; CVaR; VaR; Historical simulation; bank sector; the financial sector; ESG; financial performance.;

    Sammanfattning : 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

  4. 4. Market reaction to Basel III : An event study on the stock market reaction to the announcement by the Basel Committee on Banking Supervision on December 7th, 2017

    Magister-uppsats, Jönköping University/Internationella Handelshögskolan

    Författare :David Kinch Palvig; Anton Östlund Wessberg; [2023]
    Nyckelord :Banks; Basel III; Capital regulation; Efficient Market Hypothesis; Event study; Financial leverage; Stock markets;

    Sammanfattning : This paper investigates the impact of Basel III on the valuation of banks in the EEA through an event study of the stock market. It contributes to academic literature by enhancing the study by Bruno, Onali & Schaeck (2018) with another event date after the conclusion of their study. LÄS MER

  5. 5. ESG-betyg och dess påverkan på den finansiella marknaden & en undersökning av aktörernas inställning till ESG-betyg vidinvesteringsbeslut 

    Kandidat-uppsats, Linnéuniversitetet/Institutionen för management (MAN)

    Författare :Ameer Alsabahi; Mohammad Al Shoura; David Manea; [2023]
    Nyckelord :ESG-Investeringar; Aktiemarknad; Hållbarhet; Investering; Prestanda; Finansiella resultat;

    Sammanfattning : This study examines the implementation of ESG ratings and their impact on the Swedishstock market within the real estate, banking, and industrial sectors. ESG ratings assesscompanies' sustainability based on environmental impact, social responsibility, and corporategovernance. LÄS MER