Essays about: "General Market Information Thesis sample"

Showing result 1 - 5 of 7 essays containing the words General Market Information Thesis sample.

  1. 1. The Performance of Private Equity-backed IPOs in Sweden

    University essay from Uppsala universitet/Företagsekonomiska institutionen

    Author : Jozephine Saers; Alparslan Ugur; [2022]
    Keywords : Initial Public Offering; Underpricing; First day returns; First week returns; Private Equity; Venture Capital; Information Asymmetry;

    Abstract : This thesis examines the initial performance of private equity-backed IPOs in relation to non-private-equity-backed IPOs listed on Nasdaq Stockholm and Nasdaq First North Growth Market during the years 2011-2021. It further measures the effect of independent variables on the return after the first day- and first week of trading as well as if the first day performance impacts the first week performance. READ MORE

  2. 2. Investment firm characteristics in venture capital

    University essay from

    Author : Simon Petersson; [2020-09-04]
    Keywords : ;

    Abstract : The private equity market is known for its lack of liquidity and information. This thesis aims at bringing further clarity to the private equity field, specifically targeting the relationship between firm size and risk in the Nordic market. READ MORE

  3. 3. Challenges for Green Finance in India : An Analysis of Deficiencies in India’s Green Financial Market

    University essay from Umeå universitet/Företagsekonomi

    Author : Julia Freytag; [2020]
    Keywords : Sustainability; Green Bonds; Greenwashing; Green Bond Framework; India;

    Abstract : Context:Over the years, India has evolved as a leading powerhouse of economic growthbut belongs to the nations that are most significantly affected by anthropogenicenviron-mental changes. As part of the Paris Agreement, India has formulated a national climate agenda, but a large gapprevalentin the green financialmarket as well as other deficien-cies in the general bondmarket and the underlying infrastructure restrain the country from attaining those goals. READ MORE

  4. 4. Outlier-Robust Dynamic Portfolio Optimization based on Bear-Bull-Regimes

    University essay from Lunds universitet/Matematisk statistik

    Author : Emil Eliasson; Linus Hamlin; [2018]
    Keywords : Mathematics and Statistics;

    Abstract : The work in this thesis is meant to improve an existing algorithm described in Nystrup (2017). As the original model uses a normal distribution to approximate the daily logarithmic returns, the authors of this thesis aim to improve the approximation by using Student’s t-distribution which may be a better approximation of financial data. READ MORE

  5. 5. CEO Compensation Structure and Firm Risk Taking - A case study of the CEO compensation practices in the Swedish financial industry

    University essay from Göteborgs universitet/Graduate School

    Author : Johanna Berggren; Daniel Przybyla; [2010-06-23]
    Keywords : ;

    Abstract : Background: The CEO compensation structure is seen as one of the underlying causes of the recent financial crisis, and is a phenomenon that has been heavily debated lately both within the financial industry, by policymakers all over the world, and in business media. A very typical view nowadays appears to be that at least a partial cause underlying the recent financial crisis is the way the executive compensation systems, especially in the financial industry, have been structured. READ MORE