Essays about: "institutionella investerare"
Showing result 6 - 10 of 24 essays containing the words institutionella investerare.
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6. Market Abuse : A Survey
University essay from Södertörns högskola/NationalekonomiAbstract : The purpose of this study is to give an overview of how rules are broken in and at places connected to financial markets, such as the stock market. The approach is aimed at answering the following questions: Who are the investors and traders in the market, who are the market actors? How are financial market prices and quantities being changed in ways not allowed in the market, i. READ MORE
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7. Responsible Investing in Exchange-Traded Funds : An empirical analysis of information obstacles faced by retail investors
University essay from KTH/Skolan för industriell teknik och management (ITM)Abstract : In the context of the Sustainable Development Goals and the Paris Agreement, the European Union has devised a sustainable finance strategy that relies on the engagement of both institutional and private investors in responsible investing to deliver on those goals. Several studies have found high interest in responsible investing among retail investors, but a relatively low engagement therein. READ MORE
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8. Servitized industrial machinery as a new real asset for institutional investors
University essay from KTH/Skolan för industriell teknik och management (ITM)Abstract : The increased penetration of servitization is an ongoing trend within the industrial machinery space. This typically means that industrial machinery manufactures themselves retain ownership of the machinery they manufacture whilst also taking over maintenance operations. Essentially, offering customers a netresult. READ MORE
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9. Allocation of Alternative Investments in Portfolio Management. : A Quantitative Study Considering Investors' Liquidity Preferences
University essay from KTH/Matematik (Avd.)Abstract : Despite the fact that illiquid assets pose several difficulties regarding portfolio allocation problems for investors, more investors are increasing their allocation towards them. Alternative assets are characterized as being harder to value and trade because of their illiquidity which raises the question of how they should be managed from an allocation optimization perspective. READ MORE
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10. Value at Risk Estimation with Neural Networks: A Recurrent Mixture Density Approach
University essay from KTH/Matematik (Avd.)Abstract : In response to financial crises and opaque practices, governmental entities and financial regulatory bodies have implemented several pieces of legislature and directives meant to protect investors and increase transparency. Such regulations often impose strict liquidity requirements and robust estimations of the risk borne by a financial firm at any given time. READ MORE