Essays about: "financial markets integration"
Showing result 1 - 5 of 47 essays containing the words financial markets integration.
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1. Lessons for municipalities to steer the sustainable development of alternative housing : A case study of two co-housing projects in Helsingborg and Hamburg
University essay from Linköpings universitet/Tema teknik och social förändringAbstract : Decades of globalisation and urbanisation are posing intersecting social, economic, and environmental pressures on urban housing markets, that are pushing conventional housing provision to its limits. Accelerated by the covid-19 pandemic, alternative approaches to housing are coming to the fore. READ MORE
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2. Investigating the Adoption of Blockchain Technology for Cross-Border Payments in the Swedish Financial Industry : A Diffusion Theory Approach through Expert Interviews
University essay from Linnéuniversitetet/Institutionen för informatik (IK)Abstract : The adoption of blockchain technology for cross-border payments is not an easy task.However this qualitative study further investigates the connotations associated with adoptionof blockchain in cross-border financial transactions within Swedish financial institutions suchas banks, fintech, and credit management service companies. READ MORE
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3. Machine Learning Based Stock Price Prediction by Integrating ARIMA model and Sentiment Analysis with Insights from News and Information
University essay from Blekinge Tekniska Högskola/Institutionen för datavetenskapAbstract : Background: Predicting stock prices in today’s complex financial landscape is asignificant challenge. An innovative approach to address this challenge is integrating sentiment analysis techniques with the well-established Autoregressive IntegratedMoving Average (ARIMA) model. READ MORE
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4. Quantifying the Impact of EU-US "Distressed" Financial Market Integration on European Credit Supply
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : 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. READ MORE
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5. Green Funds : An Analysis of the Product Specific Disclosures of the EU Sustainable Finance Disclosure Regulation 2019/2088
University essay from Uppsala universitet/Juridiska institutionenAbstract : Sustainability has started to play a greater role on the financial market and a larger number of investors are searching for financial products that contribute to the environment and the sustainable development. However, the numerous definitions of sustainable investments and green funds make the investment decision-making process difficult for investors and allow companies to “greenwash” their products. READ MORE