Sökning: "credit risk uppsala"

Visar resultat 1 - 5 av 15 uppsatser innehållade orden credit risk uppsala.

  1. 1. Predicting the Unpredictable – Using Language Models to Assess Literary Quality

    Master-uppsats, Uppsala universitet/Institutionen för lingvistik och filologi

    Författare :Yaru Wu; [2023]
    Nyckelord :perplexity; variance; unpredictability; homogeneity; generative pre-trained models; text generation; literary quality;

    Sammanfattning : People read for various purposes like learning specific skills, acquiring foreign languages, and enjoying the pure reading experience, etc. This kind of pure enjoyment may credit to many aspects, such as the aesthetics of languages, the beauty of rhyme, and the entertainment of being surprised by what will happen next, the last of which is typically featured in fictional narratives and is also the main topic of this project. LÄS MER

  2. 2. The Development of Debt Policies : A Case Study of Investor’s and Industrivärden’s Portfolio Companies

    Master-uppsats, Uppsala universitet/Företagsekonomiska institutionen

    Författare :Alma Karlsson; Jenny Olsson; [2023]
    Nyckelord :debt; debt policies; ownership; investment companies; time series; content analysis;

    Sammanfattning : Debt financing can be seen as both an opportunity to increase profits as well as a financial risk and is thus an important issue for company owners to consider. This study examines the portfolio companies of the investment firms Investor and Indsutrivärden, and how their debt policies have developed from 2004 to 2022. LÄS MER

  3. 3. Impact of ESG performance and carbon emissions on cost of debt : A study of the Nordic markets

    Master-uppsats, Uppsala universitet/Företagsekonomiska institutionen

    Författare :Filip Larsson; Henrik Larsson; [2023]
    Nyckelord :ESG performance; carbon intensity; cost of debt; spreads; Refinitiv; ESG scores; CSR; sustainability; Nordics;

    Sammanfattning : 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

  4. 4. Lag (2021:1256) om riskskatt för kreditinstitut : Om bankskattens förenlighet med neutralitetsprincipen

    Uppsats för yrkesexamina på avancerad nivå, Uppsala universitet/Juridiska institutionen

    Författare :Albin Lindau; [2023]
    Nyckelord :;

    Sammanfattning : I dagens Sverige råder en bred konsensus i att tillgången till en välfungerande finansmarknad är avgörande för den ekonomiska tillväxten. Då Sverige som ekonomi är beroende utav en stabil finanssektor, är den finansiella marknaden är en oundgänglig del av samhället. LÄS MER

  5. 5. Measurement of sectoral concentration with multiple factors

    Master-uppsats, Uppsala universitet/Statistiska institutionen

    Författare :Victor Norrbin; [2022]
    Nyckelord :Concentration risk; Sector concentration; Credit risk; Time series analysis; Principal component analysis; Monte carlo simulation; Multi-factor model;

    Sammanfattning : One of banks core businesses today is to, in various ways, lend capital to the market and in return receive interest rate. But giving out credit comes with great risk and, therefore, precautions need to be taken. It is impossible to forecast exactly which obligor (borrower) that will default on its exposure. LÄS MER