OSUVA - Selaus nimekkeen mukaan
Aineistot 3248-3267 / 13982
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FIGHTING CORRUPTION IN CHINA: A Comparative Analysis of Anti−corruption measures in China and Singapore
(2010)
Pro gradu - tutkielmaThis study deals with the corruption situation in China and Singapore. Corruption is a serious issue not only occurs in the underdeveloped countries but also the developing and developed countries. The reality is that the ... -
Finance
(2010)
Pro gradu - tutkielmaLately there have been observed some sharp price reversals in residential property markets in Poland. It may raise some questions regarding the nature of property markets in general. Some authors prove its relevance to a ...Kokoteksti luettavissa vain Tritonian asiakaskoneilla. -
Finance
(2010)
Pro gradu - tutkielmaThis study aims to investigate the impact of leveraged Exchange Traded Funds (ETFs) on the optimal portfolio selection. Leveraged ETFs originate from conventional ETFs which belong to the most successful investment tools ... -
Finance-Growth Nexus and Convergence
(2013)
Pro gradu - tutkielmaThis thesis revises the relationship between financial development and the economic growth, the finance-growth nexus. This thesis expands the existing literature by using more sophisticated measures to determine the level ... -
FINANCIAL ACCELERATOR -MEKANISMI MIKROTASOLLA SUOMEN TALOUDESSA
(2013)
Pro gradu - tutkielmaTässä työssä tutkitaan epätäydellisiä rahoitusmarkkinoita mikrotasolla Suomessa. Epätäydelliset rahoitusmarkkinat ovat tärkeä tutkimuskohde, koska ne mahdollistavat yhteyden rahoitusmarkkinoiden ja reaalitalouden välillä. ...Kokoteksti luettavissa vain Tritonian asiakaskoneilla. -
Financial crises and the asymmetric relation between returns on banks, risk factors, and other industry portfolio returns
(Wiley, 29.01.2021)
articleWe show that the relations between the returns on the banking industry, risk factors, and other industries often are asymmetric. Lagged banking industry returns seem to improve predictability but the positive impact of a ... -
Financial Derivatives, Earnings Management, and Firm Performance : Evidence from the Global Financial Crisis
(09.09.2019)
Pro gradu -tutkielmaThe quality of corporate governance and risk management is one of the main determinants of firm performance during economic downturns. The global financial crisis of 2007–08 reduced the global market capitalization by ... -
Financial development, government bond returns, and stability : International evidence
(Elsevier, 22.02.2019)
articleThis paper investigates the effect of financial development on government bond returns in developed and emerging markets under different market conditions. Using a quantile regression framework for quarterly panel data ... -
Financial development, government bond returns, and stability : International evidence
(Elsevier, 01.07.2019)
articleThis paper investigates the effect of financial development on government bond returns in developed and emerging markets under different market conditions. Using a quantile regression framework for quarterly panel data ... -
Financial freedom and bank credit risk: Evidence from the European Union
(2016)
Pro gradu - tutkielmaThis paper investigates the dynamics between economic and financial freedom indexes relative to banks’ risk-taking. Particularly credit risk is examined and hence impaired loans and loan loss reserves denote risk. Time ...Kokoteksti luettavissa vain Tritonian asiakaskoneilla. -
Financial institutions' reporting requirements and the criteria for a good tax system
(Routledge, 30.09.2022)
bookPartIn order to ensure an adequate information base in the taxation, there has been in recent years increasing efforts to use information obtained from third parties, in particular from banks and financial institutions in ... -
Financial integration of six former Yugoslavian equity markets : evidence from the financial crisis
(2012)
Pro gradu - tutkielmaThis 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 ... -
Financial Integration of the European Frontier Emerging Markets
(2008)
Pro gradu - tutkielmaThis study investigates financial integration of the European frontier emerging markets. The purpose of the study is two-fold. First, the study investigates whether the European frontier emerging stock markets have become ... -
Financial interlinkages and risk of contagion in the Finnish interbank market
(Vaasan yliopisto, 2009)
workingPaper -
Financial literacy and its determinants and consequences : New survey evidence from Finland
(Cambridge University Press, 10.11.2023)
articleWe examine financial literacy in Finland and its connection with various financial outcomes using novel survey data collected in 2023. While the overall Finnish financial literacy level is about average among the OECD ... -
Financial literacy and retirement planning in Finland
(Cambridge University Press, 18.07.2018)
articleThis paper presents the results from the first study of financial literacy in Finland and explores the relationship between financial literacy and retirement planning in Finland. Finland is an interesting case because ... -
Financial literacy in the digital age : A research agenda
(John Wiley & SonsAmerican Council on Consumer Interests, 29.01.2023)
articleDigital innovations are transforming financial services and resulting changes in consumer behavior and personal money management. Diffusion of pervasive digital technologies offers individuals quick and easy access to ... -
Financial performance of the U.S. forest-product companies: value-added determinants of business success.
(2010)
Pro gradu - tutkielmaThe purpose of the study is to determine the effects of value-added components (gross value-added and investments), size and leverage on the long- and short-term financial performance of the forest, pulp and paper companies. ... -
Financial ratios in an international comparison : validity and reliability
(Vaasan yliopisto, 1996)
Monografiaväitöskirja -
Financial Ratios in Women-Owned and Men-Owned Small Firms: Evidence from Finland
(Scientific Research Publishing Inc., 09.10.2023)
articleThe aim of this study is to show how the key ratios of financial statement analysis differ in companies owned by women and men. In the study, nine hypotheses are derived based on previous studies. The central starting point ...