Essays about: "Risk rankings"
Showing result 1 - 5 of 10 essays containing the words Risk rankings.
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1. Drivers of Institutional ESG Investing
University essay from KTH/Skolan för industriell teknik och management (ITM)Abstract : This study analyzes the factors that influence environmental, social, and governance (ESG) investments in the Nordic region from the perspectives of institutional investors. The study aims to understand key drivers of ESG investments for institutional investors. READ MORE
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2. Analys av startstatus hos varmblodiga ridhästar
University essay from SLU/Dept. of Animal Breeding and GeneticsAbstract : Avelsmålet för den svenska varmblodiga ridhästen, SWB, är att producera ”en ädel, korrekt och hållbar varmblodshäst som genom sitt prestationsinriktade temperament, sin ridbarhet, goda rörelse- och/eller hoppförmåga är internationellt konkurrenskraftig”. I avelsvärderingen för SWB används idag resultat från unghästbedömning samt livstids ackumulerade poäng från tävling. READ MORE
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3. Capturing time variation within systemic risk estimation
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : Systemic risk can be defined as the risk to the whole financial system. Financial institutions may contribute more or less to this risk, and measuring the systemic risk contributions of institutions is of central importance for regulators. READ MORE
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4. Performance of Value and Growth companies with different ESG rankings: Evidence from the US stock market
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : The purpose of this paper is to focus on sustainable investments and to observe if the performance can be improved by combining the aspect of value and growth investments. The sample consists of groups of companies which are representing value or growth with either high or low ESG risk level. READ MORE
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5. A Quantitative Evaluation of Systemic Risk in the European Banking Sector
University essay from Göteborgs universitet/Graduate SchoolAbstract : This paper proposes a cross-section analysis of systemic risk in the European banking sector. The absence of a general definition of systemic risk makes it difficult to use a single, practically relevant model. READ MORE