Essays about: "thesis in finance area"

Showing result 1 - 5 of 55 essays containing the words thesis in finance area.

  1. 1. Merton's Portfolio Problem under Jourdain--Sbai Model

    University essay from Mälardalens universitet/Akademin för utbildning, kultur och kommunikation

    Author : Sajedeh Saadat; [2023]
    Keywords : Merton’s Optimal Investment-Consumption Problem; Dynamic Programming; Hamilton-Jacobi-Bellman equation; Stochastic Volatility Model; Finite-difference method; Crank-Nicolson.;

    Abstract : Portfolio selection has always been a fundamental challenge in the field of finance and captured the attention of researchers in the financial area. Merton's portfolio problem is an optimization problem in finance and aims to maximize an investor's portfolio. READ MORE

  2. 2. Swedish Stock and Index Price Prediction Using Machine Learning

    University essay from Mälardalens universitet/Akademin för utbildning, kultur och kommunikation

    Author : Henrik Wik; [2023]
    Keywords : Stock Price Prediction; Machine Learning; Time Series Analysis; Linear Regression; K-Nearest Neighbors; Random Forest; Support Vector Machines; Neural Networks;

    Abstract : Machine learning is an area of computer science that only grows as time goes on, and there are applications in areas such as finance, biology, and computer vision. Some common applications are stock price prediction, data analysis of DNA expressions, and optical character recognition. READ MORE

  3. 3. A multi-gene symbolic regression approach for predicting LGD : A benchmark comparative study

    University essay from Umeå universitet/Institutionen för matematik och matematisk statistik

    Author : Hanna Tuoremaa; [2023]
    Keywords : Symbolic regression; loss given default; credit risk; logit transformed regression; beta regression; multi-gene genetic programming; regression tree;

    Abstract : Under the Basel accords for measuring regulatory capital requirements, the set of credit risk parameters probability of default (PD), exposure at default (EAD) and loss given default (LGD) are measured with own estimates by the internal rating based approach. The estimated parameters are also the foundation of understanding the actual risk in a banks credit portfolio. READ MORE

  4. 4. Decentralized Finance : Implications on Commercial Real Estate Market

    University essay from KTH/Fastighetsföretagande och finansiella system

    Author : Kevin Jacob; Rakshith Rathnakar Shetty; [2022]
    Keywords : Decentralized Finance; Centralized Finance; Blockchain; Commercial Real Estate; Tokenization; Smart Contracts; Decentralized Exchange; Decentraliserad finans; centraliserad finans; blockkedja; kommersiell Fastigheter; tokenisering; smarta kontrakt; decentraliserat utbyte;

    Abstract : The Commercial Real Estate (CRE) market has a substantial impact on financial stability, making it one of the global sectors with a strong relationship to economic growth. Because of its stability, CRE remains a viable investment even when market cycles shift for various reasons. READ MORE

  5. 5. Green Bonds Issuance Benefits : Evidence from the Real Estate Sector

    University essay from KTH/Fastighetsföretagande och finansiella system

    Author : Hsu-Chi Weng; [2022]
    Keywords : Real Estate; Green Bonds; Green Bonds Premium; Sustainable Finance; Fastigheter; Gröna obligationer; Gröna obligationer premie; Hållbar finans;

    Abstract : In response to The Paris Agreement, all aspects of society are committing to transit to a low-carbon future. The real estate industry, which is responsible for a large portion of greenhouse gas emissions, plays a pivotal role in achieving this temperature goal. READ MORE