Sökning: "foreign currency risk"
Visar resultat 11 - 15 av 63 uppsatser innehållade orden foreign currency risk.
11. Forecast Modelling of Future Events that Affect the Repayment Capacity of Mortgages
M1-uppsats, KTH/Hälsoinformatik och logistikSammanfattning : The Swedish Financial Supervisory Authority introduced new guidelines and regulations on March 1, 2019. These regulations induced Swedish banks and other creditors to consider future events as a mean to improve their ability to determine the risk of debtors. A forecast generator was created as a tool to accomplish this. LÄS MER
12. Beskattning av Bitcoin i ljuset av likformighetsprincipen
Uppsats för yrkesexamina på avancerad nivå, Lunds universitet/Juridiska institutionen; Lunds universitet/Juridiska fakultetenSammanfattning : This paper examines how financial products are classified within the capital gains bracket and which tax differences follow from such classification. Based on practice and the methodology of the Income tax act, the paper describes how a divestment of the cryptocurrency Bitcoin should be classified and taxed. LÄS MER
13. Att säkra eller inte säkra : En kvantitativ studie om säkring av transaktionsexponering med valutaderivat
Kandidat-uppsats, Södertörns högskola/FöretagsekonomiSammanfattning : With an increasingly globalized world of multinational firms dominating the global market, firms have discovered the impact of transaction exposure on their business. To handle the risk, firms can hedge their transaction exposure with currency derivatives. LÄS MER
14. Strategies for High Frequency FX Trading - The choice of bucket size
Master-uppsats, Lunds universitet/Matematisk statistikSammanfattning : This thesis aims at developing and evaluating a model for high frequency foreign exchange data, that beats the TWAP benchmark the majority of the time. This is done by dividing the total order time into smaller time buckets and trading a smaller quantity of the total order volume in each bucket. LÄS MER
15. Currency Basis Swap Valuation : Theory & Practise
Uppsats för yrkesexamina på avancerad nivå, Umeå universitet/Institutionen för matematik och matematisk statistikSammanfattning : Banks finance their operations in several ways, by shareholders equity, receiving deposits from customers and by borrowing from investors and other financial institutions. One widely used approach is to issue a bond. Bonds issued on the foreign capital markets is a way to increase the financing options and mitigate risk exposure. LÄS MER