Sökning: "moral hazard"
Visar resultat 21 - 25 av 125 uppsatser innehållade orden moral hazard.
21. IPOs & Lockup Length: Can information asymmetry and moral hazard explain lockup length?
C-uppsats, Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiSammanfattning : In this paper we examine the determinants of IPO lockup length. The focus is primarily on moral hazard and information asymmetry. We find support for moral hazard as a driver of lockup length, but not for information asymmetry. The research is based on Swedish data and then compared to results from research done on US and UK data. LÄS MER
22. Kommunernas dilemma kring avyttringar av Samhällsfastigheter : En analys av samspelet mellan det offentliga och det privata
Master-uppsats, KTH/Fastigheter och byggandeSammanfattning : Under senare år har antalet privata aktörer verksamma inom segmentet för samhällsfastigheter, en typ av fastighet där samhällsservice bedrivs, mångdubblats. Cirka 85 procent av dessa fastigheter bedöms finnas i kommunal, regional eller statlig ägo, men allt större andel förvärvas av privata aktörer. LÄS MER
23. Development of SPAC 3.0: Empirical Evidence on SPAC Performance and Moral Hazard
D-uppsats, Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiSammanfattning : Special purpose acquisition companies (SPACs) are shell companies equipped with money raised in an initial public offering (IPO) to identify and acquire a private target within a specified timeframe. For private targets that acquire public status after a merger with a SPAC, SPACs are a reliable and fast alternative route to access public markets. LÄS MER
24. CEO Incentives and firm risk: in the context of cross-listing
Magister-uppsats, Lunds universitet/Företagsekonomiska institutionenSammanfattning : This research aims to investigate the relation of CEO compensation, especially how the sensitivity of CEO wealth to stock return volatility (vega), but also how the sensitivity of CEO wealth to stock price (delta) affects the risk of the firm. Moreover, these relations are investigated in the context of cross-listing to examine whether there are differences between US-only listed firms and those that are dual listed. LÄS MER
25. Leasing Risks and Commercial Real Estate : A Study on the Relationship Between Risk Premium and Leasing Risks
Master-uppsats, KTH/Fastigheter och byggandeSammanfattning : Purpose: The purpose of this thesis paper is to evaluate what the current market practice of real estatevaluation and investment decisions is when it comes to different leasing risks and the risk premium.With regard to some of the ongoing trends within real estate, it is believed that investor preferencesaffect the market practice and the underlying theories of valuation does not fully comply to the currentmarket practice. LÄS MER