Essays about: "Currency risk management"

Showing result 1 - 5 of 36 essays containing the words Currency risk management.

  1. 1. The role of media reported weather shocks on mutualfund capital flow : A comparison of socially responsible- and conventional funds

    University essay from Umeå universitet/Företagsekonomi

    Author : Bizuayehu Tefera; [2020]
    Keywords : Capital flow; Weather shocks; Socially responsible investment;

    Abstract : Identifying factors that affect the flow of mutual fund capital and betweenmutualfund types hasthe potential, among others,to relief fund management and investors from unnecessary administrative costs. This study investigated the role media reported weather shocks have on socially responsible and conventional mutual trust funds’capital flow. READ MORE

  2. 2. Transaction synchronization and privacy aspect in blockchain decentralized applications

    University essay from KTH/Skolan för elektroteknik och datavetenskap (EECS)

    Author : Patarawan Ongkasuwan; [2020]
    Keywords : Blockchain; distributed database; distributed ledger; digital ledgers; centralized database; decentralized database; Ethereum; Blockchain synchronization; security-related; cryptocurrency; digital currency; transaction; user experience; privacy strategy; smart contract; risk; Blockchain; distribuerad storbok; digital ledbok; centraliserad databas; decentraliserad databas; Ethereum; Blockchain-synkronisering; säkerhetsrelaterad; cryptocurrency; digital valuta; transaktion; användarupplevelse; sekretessstrategi; smart kontrakt; risk;

    Abstract : The ideas and techniques of cryptography and decentralized storage have seen tremendous growth in many industries, as they have been adopted to improve activities in the organization. That called Blockchain technology, it provides an effective transparency solution. READ MORE

  3. 3. How to Avoid Bankruptcy?: Monte Carlo Simulation of Three Financial Markets, using the Multifractal Model of Asset Returns

    University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi

    Author : Rostislav Sibirtsev; [2019]
    Keywords : Multifractal Model of Asset Returns MMAR ; Simulation; Fractal; Kurtosis; Dependence;

    Abstract : This paper has been an effort to apply fractal mathematics to understanding the general behaviour of financial markets. Fractals are special shapes that look similar at various scales. The specific model used is called the Multifractal Model of Asset Returns (MMAR) - the first ever model used for multifractal financial analysis. READ MORE

  4. 4. Government yield spread determinants in the eurozone and the effect of the European debt crisis

    University essay from KTH/Skolan för industriell teknik och management (ITM)

    Author : Arian Kalantari; [2019]
    Keywords : Government bonds; yield spread; eurozone; European debt crisis; risk; Statsobligationer; räntor; spread; euroområdet; risk; skuldkrisen;

    Abstract : The inception of the economic and monetary union (EMU) in January 1999 created new conditions for government debt. By eliminating currency exchange rate risk between the member states, the hope was to achieve a more sustainable and integrated government debt market in the euro area. READ MORE

  5. 5. The Role of Gold in an Investment Portfolio : An empirical study on diversification benefits of gold from the perspective of Swedish investors

    University essay from Umeå universitet/Företagsekonomi

    Author : Nelly Fernando; [2017]
    Keywords : Gold; Investment Portfolio;

    Abstract : Human interaction with gold can be traced far back in history, and throughout history, the metal has been both worshipped and fought for. People almost intuitively place a high value on this yellow metal and gold has always had a special place in the human heart. READ MORE