Sökning: "moral hazard"
Visar resultat 6 - 10 av 125 uppsatser innehållade orden moral hazard.
6. Earnings Management and Board Monitoring: Does CEO Power Have a Moderating Role?
Magister-uppsats, Lunds universitet/Företagsekonomiska institutionenSammanfattning : The purpose of this study is twofold. The first is to examine the board monitoring's impact on accrual-based earnings management, as reflected by the absolute value of discretionary accruals. The second is to investigate the moderating effect of CEO power on the relationship between board monitoring and accrual-based earnings management. LÄS MER
7. Informationsasymmetri på den svenska bilförsäkringsmarknaden
Kandidat-uppsats, Lunds universitet/Nationalekonomiska institutionenSammanfattning : Denna uppsats undersöker informationsasymmetri på den svenska bilförsäkringsmarknaden. Genom att använda kunddata från Länsförsäkringar Upp- sala analyserar studien korrelationen mellan täckning och risk. Två logit- modeller estimerar effekten av att en ökad grad av försäkring leder till större sannolikhet för skadeanmälan. LÄS MER
8. The risk of sub-optimal allocation of government spending when implementing GDP-linked bonds
C-uppsats, Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi; Handelshögskolan i Stockholm/Institutionen för nationalekonomiSammanfattning : This paper examines the risk of suboptimal allocation of public resources in countries issuing GDP-linked bonds and how such risk can be mitigated. Throughout the analysis, a linear interest rate function for GDP-linked bonds is used. LÄS MER
9. SPAC Post-Merger Performance
Magister-uppsats, Lunds universitet/Nationalekonomiska institutionenSammanfattning : Special purpose acquisition companies (SPACs) are shell companies with no operational assets with the sole purpose of using the raised capital from the initial public offering (IPO) to acquire a private target firm within a predetermined time frame. This financial vehicle has in recent years surged in interest and media coverage. LÄS MER
10. De kort- och långsiktiga konsekvenserna av den kortsiktiga coronapolitiken
Kandidat-uppsats, Lunds universitet/Nationalekonomiska institutionenSammanfattning : This paper analyses the Swedish government and the Swedish central bank's measures during the coronavirus pandemic and their effects on the economy in the short run and potential long run effects. By comparing the covid-19 pandemic with the Swedish crisis in the 1990s, and the financial crisis 2008-2009, differences and similarities are combined with previous studies to analyze what effect these measures have on: the number of bankruptcies, unemployment, change in USD/SEK, governments savings ratio, exploitation of the central bank's measures, and the household debt ratio. LÄS MER