Essays about: "Financial Debt Crisis"

Showing result 36 - 40 of 146 essays containing the words Financial Debt Crisis.

  1. 36. Systemic risk and bank equity valuation: A study of the market-to-book value and government guarantees

    University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi

    Author : Camilla Nydahl; Emma Rydén; [2019]
    Keywords : Government guarantees; Banks; Market-to-book value; Systemic risk; Financial crisis;

    Abstract : In previous research, it has been argued that a link exists between the equity valuation of a bank and its tail risk. The relationship has been attributed to government guarantees and how they create a synthetically low cost of debt, which increases the incentive to take on risk. READ MORE

  2. 37. Capital Structure Determinants in Large Real Estate Firms : A Panel Data Study of Post-Crisis Sweden (2009-2017)

    University essay from Umeå universitet/Företagsekonomi

    Author : Mia Storlöpare; Lundgren Rudström Sara; [2019]
    Keywords : Capital Structure; Real Estate; Sweden; Pecking Order Theory; Trade-Off Theory;

    Abstract : The real estate industry is one of the oldest sectors in the world, having existed almost as long as humans have roamed around the earth. Despite the social system in place, the ownership of land and buildings has always been a great source of prosperity to their owner. READ MORE

  3. 38. Debt Funds : Alternative Financing on the Swedish Real Estate Market

    University essay from KTH/Bank och finans

    Author : Victor Holmen; Linus Svensson; [2019]
    Keywords : Debt funds; Real Estate; Alternative financing options; Swedish Real Estate Market; Skuldfonder; Fastigheter; Alternativa Finansieringslösningar; Svenska Fastighetsmarknaden;

    Abstract : Banks have become increasingly restrictive in their lending towards real estate, a development that is expected to continue due to further regulations, such as the Basel framework, and the emergence of new alternative financing options. As described by interview respondents, companies have shown an increased preference for a mix of capital sources following the financial crisis of 2008, which has led to an increase in demand on the capital and alternative markets. READ MORE

  4. 39. The Role of Uncertainty in the Scandinavian Banking Sector

    University essay from Linköpings universitet/Nationalekonomi

    Author : Viktor Forsström; Karl Lind; [2019]
    Keywords : Scandinavian banking sector; Uncertainty; Spillovers; Contagion; Connectedness; Network analysis; Quantile regression;

    Abstract : In this thesis we analyse the impact of uncertainty shocks in the Scandinavian banking sector. We apply the spillover approach developed by Diebold and Yilmaz (2009; 2012; 2014), followed by network analysis. Furthermore, the dynamics of uncertainty shocks are examined by applying a quantile regression approach. READ MORE

  5. 40. Investigating the Long- and the Short-Run Diversification Potential of REITs for Private Investors

    University essay from Linköpings universitet/Institutionen för ekonomisk och industriell utveckling

    Author : Klara Granath; Charlotta Carlsson; [2019]
    Keywords : REIT; Portfolio Diversification; DCC-GARCH; Johansen’s Cointegration; Granger Causality;

    Abstract : Real estate is commonly viewed as a good diversification tool since the real estate market cycle exhibit low correlations to other asset classes. Moreover, Real Estate Investment Trusts (REITs) have become increasingly popular in the past decades since this investment form offers private investors a convenient way of diversifying stock portfolios with real estate. READ MORE