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Showing result 1 - 5 of 37 essays matching the above criteria.
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1. Storskogen's portfolio diversification - A strategy for prosperity?
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : This case study provides an in-depth description of the fast-paced M&A compounder Storskogen which has received noticeable media attention since its IPO in October 2021. Through examining the market sentiment surrounding the public market entry, the underwriting process, and its business model, potential reasons for its volatile and relatively poor stock performance are put forward. READ MORE
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2. Moral Hazard and Banking Risk, a Euro Area Analysis
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : The study investigates the effects of capital regulations on risk-taking within the Euro- zone banking sector from 2013 to 2019, specifically focusing on the impact of moral hazard stemming from bank charter value and ownership influence. Previous research suggests both bank charters and ownership influence can prompt different risk behaviours and po- tentially influence the effectiveness of capital regulations. READ MORE
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3. Deal or No Deal
University essay from Lunds universitet/Företagsekonomiska institutionenAbstract : Purpose: The purpose of the thesis is to investigate if deal completion probability is associated with the stock market’s initial reaction to the M&A announcement. Furthermore, the study aims to explore if other characteristics have a relationship with deal completion, and if they have a moderating effect on the relationship with deal completion and the stock market’s reaction. READ MORE
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4. Economic Policy Uncertainty and Stock Market Performance: The Role of CSR
University essay from Handelshögskolan i Stockholm/Institutionen för redovisning och finansieringAbstract : This research study aims to examine the association between economic policy uncertainty (EPU) and stock market performance, and to investigate whether corporate social responsibility (CSR) has an impact on this relationship. The dataset used in this study comprises firms listed on the S&P 500 index from 2013 to 2022 and is applied on two models, the Capital Asset Pricing Model and Fama French Three Factor Model. READ MORE
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5. Intangible assets and earnings management : An analysis in an EU context
University essay from Umeå universitet/FöretagsekonomiAbstract : The topic of intangible assets in relation to earnings management has been a debated subject for a long time. Different aspects of intangible assets have been thoroughly examined in relationship to earnings management by scholars over the years whether it’s about goodwill from business acquisition, recognition of intangible assets, timely impairments and so on. READ MORE