Browsing NHH Brage by Title
Now showing items 2601-2620 of 8244
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Financial economics
(Discussion paper, Working paper, 2003-01)We consider a one period (two time points-) model of efficient risk sharing, when the risk of possible sharing rules are constrained to be linear. This can be interpreted as a model of a market for common stocks. Here we ... -
Financial flexibility and social distancing in the face of disaster : an empirical study on the US stock market during the COVID-19 pandemic
(Master thesis, 2021)The objective of our study is to examine the mechanisms of the corporate balance sheet during the exogenous COVID-19 crisis. The Fama-MacBeth methodology is employed on the US stock market, controlling for industry and ... -
The financial health of Norwegian crowdlending borrowers : comparing crowdlending borrowers and borrowers in traditional banks by applying three bankruptcy prediction models
(Master thesis, 2020)The purpose of this thesis is to examine whether companies obtaining loans at Norwegian crowdlending platforms are more likely to default than companies obtaining loans in traditional Norwegian banks. Crowdlending, the ... -
Financial impact of a political crisis : the case of Catalonia (Spain)
(Master thesis, 2018)The aim of this master thesis is to investigate how the increased uncertainty in the conflict in Catalonia from 2010 to 2018 has impacted the financial markets in Spain. In doing so, the event study methodology is applied ... -
Financial Instability and Banking Crises in a small open economy
(SAM DP;18/2021, Working paper, 2021-11)The present paper seeks to investigate the importance of financial instability during four banking crises, with focus on the small open economy of Norway. The crises elaborated on are the Post First world war crisis of the ... -
Financial instability, institutional development and economic crisis in Eastern Europe
(Peer reviewed; Journal article, 2019) -
Financial Investment Analysis of Residential Rooftop Solar PV Systems in Norway : A Model-Based Approach to Analyse Profitability and the Effect of Key Variables Under Current Market Conditions
(Master thesis, 2022)In light of increased electricity prices and high demand for renewable energy, solar PV deployment has risen rapidly and is expected to increase further, both globally and in Norway. Although a large part of the growth ... -
Financial literacy and other determinants of consumer complaint behavior : an empirical study utilizing the CFPB’s complaint database
(Master thesis, 2018)Too many in the United States lack the necessary skills to make sound financial choices. In combination with a wide range of options in the consumer-finance market and the inherent conflict of interest that exists between ... -
Financial markets design and developing country growth : the case of Dubai International Financial Exchange (DIFX)
(Master thesis, 2007)The aim of this thesis is showing how financial market design can facilitate the growth of developing countries. The paper is divided into two main parts (II and III). Part II explains how financial markets support developing ... -
Financing constraints and firms' investment activities
(Doctoral thesis, 1998) -
Financing of media firms : does competition matter?
(Discussion paper, Working paper, 2005-01)This paper analyses how competition between media firms influences the way they are financed. In a setting where monopoly media firms choose to be completely financed by consumer payments, competition may lead the ... -
Financing of media firms: does competition matter?
(Working paper, Working paper, 2005-01)This paper analyses how competition between media firms influences the way they are financed. In a setting where monopoly may lead the media firms to be completely financed by consumer payments, competition may lead the ... -
Financing of Start-ups : An Empirical Study of Debt Financing in Norwegian Start-ups
(Master thesis, 2023)The main goal of this thesis is to identify factors which determine the debt levels of Norwegian start-ups and how debt financing develops as firms mature. This is achieved by analysing a dataset consisting of 100.381 ... -
Financing of startups - investors’ requirement for exit strategy: A comparative study of Norway and the United States
(Master thesis, 2016)“A company doesn’t sell itself though it is a success. A lot of work has to be put into the exit strategy” Rune Rinnan, Founder and Venture Capitalist, Televenture This thesis aims to gain an understanding of the ... -
Financing of startups : a comparative study of Norway and the USA
(Master thesis, 2016)This thesis aims at gaining an understanding of the mechanisms behind obtaining the necessary funding for an innovative startup in both Norway and the USA. The main focus is to identify areas where the two markets differ ... -
Finansanalytikere og aksjeanbefalinger : avkastning og insentiver
(Master thesis, 2006)Denne utredning er en litteraturstudie som tar for seg avkastning og insentiver knyttet til offentliggjøring av aksjeanbefalinger. I den forbindelse blir det også redegjort for noen teoretiske modeller som kan illustrere ... -
Finansiell krise og utsikter for et krakk i det norske boligmarkedet : vurdering av utsikter for et krakk i det norske boligmarkedet ut i fra etablert kriseteori og pengepolitisk diskusjon
(Master thesis, 2009)Masterutredningen har som hovedformål å gjennomføre en grundig analyse av dagens situasjon i det norske boligmarkedet. Vi ønsker i denne forbindelse å se den siste tids boligprisutvikling i lys av etablert kriseteori, ... -
Finansiell stabilitet : en empirisk analyse av kreditt- og boligprisgapet
(Master thesis, 2015)Denne utredningen søker å beskrive hvordan bankenes atferd kan påvirke finansiell stabilitet, og i hvilken grad stabiliseringspolitikken i Norge har fungert relativt til i Sverige og i Danmark. Ved å studere utvikling i ... -
Finansielle instrumenter : overgangen fra IAS 39 til IFRS 9 : en empirisk studie av tapsavsetningsprosenten og kostnadsførte tap på utlån i norske børsnoterte banker i perioden 2017-2018
(Master thesis, 2020)IFRS 9 ble implementert som den gjeldende standarden for regnskapsrapportering av finansielle instrumenter i 2018. I den forbindelse har vi ønsket å undersøke hvilken effekt IFRS 9 har hatt på regnskapsrapporteringen. ... -
Finansielle kontrakter i norske såkornfond : en empirisk analyse
(Master thesis, 2009)Vi har i vår oppgave sett på kontrakter i såkornfond og sammenlignet disse med kontrakter i Venturekapitalfond. Vi har sett på dette i lys av prinsipal-agent teori, Miller og Modiligianis teori om kapitalstruktur og hold-up ...