Essays about: "Bank Financial Analysis thesis"
Showing result 1 - 5 of 79 essays containing the words Bank Financial Analysis thesis.
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1. Environmental performance and sovereign bond yields: Evidence from emerging markets
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : This thesis analyses if investors price a country’s environmental (E) performance into sovereign bond yields. The sample consists of 17 emerging countries from 2011 to 2020. READ MORE
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2. Banks´contribution to economic growth : Evidence from European countries
University essay from Luleå tekniska universitet/Institutionen för ekonomi, teknik, konst och samhälleAbstract : A major objective of policy makers is to achive targeted economic growth. Given the role of financial institutions and banks in today´s economy several researchers studied the relationship between economic growth and profitability of banks. READ MORE
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3. The influence of favouritism as non financial incentives on employee performance
University essay from Umeå universitet/Handelshögskolan vid Umeå universitet (USBE)Abstract : ABSTRACT In the business sector, favouritism is a frequent and typically disapproved behaviour. However, when used as a reward for excellent employee performance, favouritism can incentivize increased employee productivity and performance. READ MORE
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4. Results Measurement of Livelihood Interventions in the Humanitarian Field, using a Sustainable Livelihoods Framework (SLF) to analyze the Economic Rate of Return (ERR) of an income-generating activity (IGA) project in a post-disaster setting, in San Andres Osuna, Guatemala
University essay from Uppsala universitet/Teologiska institutionenAbstract : There is limited evidence-based data on income-generating interventions, both within thehumanitarian and the development field. Nevertheless, there is a growing and unavoidable nexus between the two fields, and therefore also, within their methodologies for measuring project intervention results, as well as their success rates. READ MORE
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5. Reforms, Risk and Arbitrage: The Impact of G20 Post-Crisis Reform Implementation on Systemic Risk and Arbitrage in Banking and Insurance
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : This thesis analyzes the effect of the implementation progress of the G20 post-crisis reform on systemic risk and bank foreign claims. First, indices measuring jurisdiction-level implementation progress of the reform and its different areas are constructed, and subsequently, SRISK, a common measure of systemic risk is regressed on these indices and other regulatory variables in a fixed effects regression. READ MORE