Essays about: "sample thesis in finance"
Showing result 1 - 5 of 61 essays containing the words sample thesis in finance.
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1. Patience, the feminine virtue of investing : A mixed-methods approach to studying gender-based investment behaviours and the investment gap.
University essay from Jönköping University/IHH, FöretagsekonomiAbstract : Background – This study discusses gender-based differences in investment behaviour and its economic consequences. Despite significant advancements in gender equality, inequalities such as the gender wealth gap exist. This paper explores the difference in investment behaviour and factors that influence said behaviour. READ MORE
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2. Calling the Bluff? - The Perspective of Nordic Private Equity Firms on the Implementation of the Sustainable Finance Disclosure Regulation
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : The Sustainable Finance Disclosure Regulation (SFDR) is the first mandatory ESG regulation in the EU. Since March 2021, the regulation has imposed ESG disclosure obligations for asset managers, including private equity firms, in a pursuit to increase transparency and mitigate greenwashing in the industry. READ MORE
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3. Good Loan, Bad Loan Sustainability-linked loans and the quality of KPIs
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : Sustainability-linked loans (SLLs) have quickly grown to be the second-largest type of sustainable debt after green bonds. In theory, SLLs should incentivize borrowers to progress on sustainability objectives by linking the loan's interest margin to specific sustainability key performance indicators (KPIs). READ MORE
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4. Is remote work the future of finance? A qualitative study of employee productivity in remote working settings in financial services companies
University essay from Handelshögskolan i Stockholm/Institutionen för företagande och ledningAbstract : Through a qualitative study, this thesis investigates how remote work impacts the productivity of financial industry professionals. During the COVID-19 outbreak the world went into a lockdown, culminating in a shift to remote work. READ MORE
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5. Improving term structure measurements by incorporating steps in a multiple yield curve framework
University essay from Linköpings universitet/ProduktionsekonomiAbstract : By issuing interest rate derivative contracts, market makers such as large banks are exposed to undesired risk. There are several methods for banks to hedge themselves against this type of risk; one such method is the stochastic programming model developed by Blomvall and Hagenbjörk (2022). READ MORE