Sökning: "financial analysis of financial markets"

Visar resultat 1 - 5 av 447 uppsatser innehållade orden financial analysis of financial markets.

  1. 1. Sustainable Funding: The Future Role of Finance Suppliers in Sweden Promoting Green Real Estate.

    Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionen

    Författare :Tim Jakobsson; Axel Cuvier Kareby; [2024-03-06]
    Nyckelord :;

    Sammanfattning : This report investigates the relationships between Corporate Social responsibility and how it affects Swedish banks' role in promoting green real estate. The foundation of the analysis is a qualitative study based on interviews that were conducted on Swedish banks. LÄS MER

  2. 2. Beyond the Crisis: A Safe Haven Analysis : Empirical Insights into the Divergence of Gold and Bonds for Portfolio Hedging

    Kandidat-uppsats, Umeå universitet/Företagsekonomi

    Författare :Anthony Baugi; Eugene Zhang; [2024]
    Nyckelord :Gold; Bonds; Safe Haven; Hedging; US Treasury; Volatility; Covid; Portfolio Theory; Asset Dynamics; Fiscal Policy; Monetary Policy; Financial Crisis; Asset Management; Risk Management; Portfolio Risk;

    Sammanfattning : Purpose: This thesis investigates the relationship concerning traditional safe haven assets, gold and US 10-year treasury bonds during periods of market instability, specifically during the economic concerns raised by the COVID-19 pandemic. It assesses the hedging and safe haven properties of these assets and their dynamic nature throughout two periods of unconventional monetary and fiscal policy measures by the Federal Reserve & US Congress respectively. LÄS MER

  3. 3. Stock Price Predictions for FAANG Companies Using Machine Learning Models

    Kandidat-uppsats, Lunds universitet/Statistiska institutionen

    Författare :Hugo Dahlquist; Fredrik Fourong; [2024]
    Nyckelord :Random Forest; Artificial Neural Networks; Stock prices; Predictions.; Mathematics and Statistics;

    Sammanfattning : The financial industry is one of the highest grossing sectors in the world as it is estimated to represent 24\% of the global economy. As most companies want their asset value to increase, it is of high interest to make good investments which will increase in either the short or long run. LÄS MER

  4. 4. The use of derivatives in corporate risk management - A value adding strategy?

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

    Författare :Agnes Strignert; [2024]
    Nyckelord :Risk Management; Derivatives; Hedging; Modigliani-Miller; Porsche;

    Sammanfattning : Part I:This study highlights the role of active risk management of currency risk exposure within large listed non-financial European firms. In the aftermath of the global pandemic and invasion of Ukraine, many firm across the global has experienced challenges in terms of sustaining stable cash flows. LÄS MER

  5. 5. CORPORATE SOCIAL RESPONSIBILITY & UTDELNINGAR: DET LÖNSAMMA SÄTTET ATT VARA HÅLLBAR?

    Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionen

    Författare :Agnes Fellenius; Ebba Magnusson; Johanna Sörensson; [2023-02-27]
    Nyckelord :Corporate Social Responsibility; Dividends; Capital Distribution; Markets; Sustainability norm; ESG; Lifecycle.;

    Sammanfattning : This paper aims to increase the knowledge regarding Corporate Social Responsibility and its effect on companies, through studying the relationship between CSR and dividend payouts in different markets. Previous research that has studied CSR has focused on its effect on companies' financial performance. LÄS MER