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High Liquidity Creation and Systemic Risk in the U.S. Banking Sector
(2016)
Pro gradu - tutkielma
Pro gradu - tutkielma
This study focuses on bank liquidity creation as a comprehensive measure of all bank’s on and off balance sheet activities, and it specially formulates and tests the hypothesis which address the issue as to whether high ...
Foreign Currency Derivatives and Firm Market Value: Evidence from Unites States – Comparison of before, during and after Financial Crisis
(2018)
Pro gradu - tutkielma
Pro gradu - tutkielma
The latest financial crisis made markets more volatile and firms are associated with more risks globally. Firms have started to invest more resources in risk management and the use of foreign currency derivatives has grown ...
STOCK MARKET AND VOLATILITY SPILLOVER: EVIDENCE FROM VAR-GARCH ANALYSIS OF BRICS AND THE US
(2018)
Pro gradu - tutkielma
Pro gradu - tutkielma
The thesis paper aims to investigate the volatility spillover effects from the stock market of the United States to BRICS (Brazil, Russia, India, China and South Africa). In this study, I have employed VAR-GARCH framework ...
THE PERFORMANCE OF EMERGING MARKETS MUTUAL FUNDS BEFORE, DURING AND AFTER MARKET DOWNTURNS
(2016)
Pro gradu - tutkielma
Pro gradu - tutkielma
Investing in emerging market has been a trend among investors for many years, and for investors in developed countries, mutual funds have been one of the most important vehicles for them to make investment in emerging ...
Profitability of Mergers and Acquisitions in Finland before and during the Financial Crisis
(2015)
Pro gradu - tutkielma
Pro gradu - tutkielma
This research thesis concentrates on evaluating the short- and long-term profitability of Finnish companies M&A transactions. Examined full sample period includes the years from 2001 to 2010. Total period is also divided ...
Determinants of Credit Default Swap Spreads and Credit Risk Asymmetry: Evidence from U.S. Non-financial Firms in 2007–2012
(2014)
Pro gradu - tutkielma
Pro gradu - tutkielma
The purpose of this study is to study how accounting-based and market-based credit risk determinants compare in assessing credit risk in different economic regimes by examining a sample of credit default swaps (CDS) on ...
Bank Lending and Credit Creation around the Financial crisis
(2016)
Pro gradu - tutkielma
Pro gradu - tutkielma
This study examines the relationship between each asset type and the changes in amount of lending and credit creation before, during and after the financial crisis 2007-2009 in Euro zone banks. The data are gathered from ...
Financial integration of six former Yugoslavian equity markets : evidence from the financial crisis
(2012)
Pro gradu - tutkielma
Pro gradu - tutkielma
This thesis investigates the financial integration of former Yugoslavian countries’ equity markets into developed markets with respect to the financial crisis of late 2000s. The purpose of the study is to investigate whether ...
The impact of capital structure on performance of listed firms in Vietnam
(2018)
Pro gradu - tutkielma
Pro gradu - tutkielma
This paper analyzes the impact of financial leverage on performance of listed firms in Vietnam, where ROA, ROE and Tobin’s Q are used as proxies for firm performance. Different empirical models are applied to test the ...
Pecking order theory in a bank-centered lending environment - Evidence from North European economies
(2016)
Pro gradu - tutkielma
Pro gradu - tutkielma
The purpose of this study is to find out whether North European firms follow the pecking order theory in their annual financing decisions. The hypotheses propose that the pecking order behavior is strong but weakens after ...