Sökning: "financial market correction"
Visar resultat 1 - 5 av 16 uppsatser innehållade orden financial market correction.
1. Housing prices in Swedish municipalities : A study using Error correction model
Master-uppsats, Umeå universitet/NationalekonomiSammanfattning : The housing market is one of the markets that is regularly noticed by publications, studies and in people's everyday lives. Making an investment in the housing market is a big step associated with large sums that require some thought and financial planning. LÄS MER
2. Quantifying the Impact of EU-US "Distressed" Financial Market Integration on European Credit Supply
Master-uppsats, Lunds universitet/Nationalekonomiska institutionenSammanfattning : This paper proposes a new method for quantifying financial integration by adapting Adrian & Brunnermeier (2016)’s ΔCoVaR to conform with standard asset pricing literature (Lewellen & Nagel 2006, Cochrane 2009). We reconcile ΔCoVaR with standard microeconomic theory (Waller & Lewarne 1994) and test for causal relationships with respect to the contagion of US acute financial shocks to the EU’s loan supply. LÄS MER
3. Reducing Housing Barriers for First-time Buyers : Exploring Alternative Mortgage Products to Increase Access to Homeownership
Master-uppsats, KTH/Fastigheter och byggandeSammanfattning : Access to homeownership is a major social and economic issue in many countries. Failure to maintain affordability has been discussed as the ultimate agglomeration diseconomy. This report sheds light on the thresholds for first-time buyers in Sweden and possible solutions through financial innovation. LÄS MER
4. Covid-19, quantitative easing, and the awakening of abnormal returns at the Swedish stock market
Master-uppsats, Södertörns högskola/NationalekonomiSammanfattning : This thesis aims to investigate to what extent the quantitative easing monetary policy tool, applied by the Riksbank, contributed to abnormal returns at the Swedish stock market during Covid-19. The chosen time period is 2007-2022, including the period before and after the implementation of quantitative easing in Sweden in 2015. LÄS MER
5. Decision-making In Mutual Funds During the COVID-19 Pandemic
Master-uppsats, KTH/Industriell ekonomi och organisation (Inst.)Sammanfattning : During the beginning of 2020, the world was struck by the vicious virus COVID19, forcing societies into lockdown. Demand froze across the board and this was quickly reflected on stockmarkets worldwide. The Swedish stock market index, OMXS30, plummeted around 30% in a matter of weeks. LÄS MER