Essays about: "Financial loss"
Showing result 6 - 10 of 261 essays containing the words Financial loss.
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6. Volatility Modelling in the Swedish and US Fixed Income Market : A comparative study of GARCH, ARCH, E-GARCH and GJR-GARCH Models on Government Bonds
University essay from Linköpings universitet/Nationalekonomi; Linköpings universitet/Filosofiska fakultetenAbstract : Volatility is an important variable in financial markets, risk management and making investment decisions. Different volatility models are beneficial tools to use when predicting future volatility. The purpose of this study is to compare the accuracy of various volatility models, including ARCH, GARCH and extensions of the GARCH framework. READ MORE
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7. A Life Cycle Assessment on the Biodiversity impact of SDG equity funds
University essay from Umeå universitet/FöretagsekonomiAbstract : Sustainability, a multidimensional concept, consist of various environmental, social, and economic factors. Its fundamental principle is to fulfill the needs of the present without compromising the ability of future generations to meet their own needs. READ MORE
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8. Katters välfärd under behandling av hypertyreos : en enkätstudie
University essay from SLU/Dept. of Clinical SciencesAbstract : Hypertyreos är den vanligaste endokrina sjukdomen hos katter. Sjukdomen beror på sjukliga förändringar i tyreoidea som leder till en ökning av tyreoideahormon och en ökad ämnesomsättning. READ MORE
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9. Acquisitions vs corporate-startupcollaboration: corporations quest to bemore innovative : A case study on the advantages and disadvantages of startupacquisitions and startup collaboration
University essay from Linnéuniversitetet/Institutionen för management (MAN)Abstract : In recent years, startups have become frontrunners of innovation. Large corporations today are trying to keep up with startups but are falling behind due to long bureaucratic processes. In order to keep up with the startups, corporations collaborate with startups through accelerator programs and acquisitions. READ MORE
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10. Portfolio Risk Modelling in Venture Debt
University essay from KTH/Matematisk statistikAbstract : This thesis project is an experimental study on how to approach quantitative portfolio credit risk modelling in Venture Debt portfolios. Facing a lack of applicable default data from ArK and publicly available sets, as well as seeking to capture companies that fail to service debt obligations before defaulting per se, we present an approach to risk modeling based on trends in revenue. READ MORE