Blar i Thesis på tittel
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Risikokommunikasjon og finansielle derivater : effekt på lønnsomhet og selskapsverdi
(Master thesis, 2017)This thesis addresses how firms’ risk communication and derivatives usage affect firm value and profitability. We have conducted content analyses of 447 annual reports on 66 companies listed on the Oslo Stock Exchange ... -
Risikostyring : analyse av LOS-programmets metode for usikkerhetsstyring i et helhetlig styringsperspektiv
(Master thesis, 2007)Denne utredningen har som formål å beskrive og analysere LOS-programmets metode for usikkerhetsstyring i et helhetlig styringsperspektiv, med fokus på hvordan de tilfredsstiller normene satt gjennom regelverk for økonomistyring ... -
Risikostyring i laksemarkedet : en analyse av Fish Pool sine futures som risikostyringsverktøy
(Master thesis, 2014)Fish Pool ASA har siden 2006 vært en markedsplass for kjøp og salg av derivater med prisen på laks som underliggende. Allmennaksjeselskapet har som vedtektsfestet formål å ”etablere, utvikle ... -
Risikostyring i laksemarkedet : en studie av fish pools derivater
(Master thesis, 2009)Da Fish Pool åpnet i 2006 ble børsen verdens første markedsplass for finansielle derivater med laksepriser som underliggende aktivum. Dette ga aktører i laksemarkedet nye muligheter til å risikostyre. Vi har sett på om ... -
Risikostyring som et ledelsesverktøy : en kvalitativ studie av hvordan et risikostyringssystem kan anvendes for å strukturere informasjon og underbygge ledernes beslutninger
(Master thesis, 2013)Dette er en kvalitativ studie som tar sikte på å besvare hvordan et risikostyringssystem utvikles fra å følge lover og regler mot å bli et ledelsesverktøy som strukturerer informasjonen og underbygger ledernes beslutning ... -
Risikotakingskanalen i pengepolitikkens transmisjonsmekanisme : en empirisk studie av norske sparebanker
(Master thesis, 2017)Den globale finanskrisen i 2008 har ført til at sammenhengen mellom pengepolitikk og risikooppfatninger og -toleranse er blitt tillagt økende oppmerksomhet i den empiriske og teoretiske litteraturen. Empiriske studier ... -
Risk and return in yield curve arbitrage : a survey of the USD and EUR interest rate swap markets
(Master thesis, 2020)This thesis extends the research of Duarte, Longstaff and Yu (2007) by looking at the risk and return characteristics of yield curve arbitrage. Like in Duarte et al., return indexes are created by implementing a particular ... -
Risk arbitrage in the Nordics
(Master thesis, 2018)This paper examines the existence of risk arbitrage in the Nordic market. The study includes 182 public cash offers from 2007 to 2016, and three differently weighted risk arbitrage portfolios consisting of Norwegian, ... -
Risk Assessment Comparison in Developing Offshore Markets : Brazil and Angola : A Risk Assessment Framework for Companies exploring the Pre-salt Business Opportunities
(Master thesis, 2014)This dissertation was written in the context of the pre - salt findings and the consequential business opportunities that these discoveries represented for the of fshore industry. The authors, throughout their Master ... -
Risk disclosure in the annual reports of public companies
(Master thesis, 2015)The management discussion and analysis section of a company’s annual report could be seen as an advertisement for the company. Here, management has the opportunity to communicate with stakeholders, such as investors and ... -
Risk management in the crude oil market : market efficiency and hedging strategies
(Master thesis, 2010)This thesis aims to explore two main issues. First we study crude oil prices in view of weak-form efficiency. Thereupon we look into different hedging strategies that could be used to stabilize income in a market with high ... -
Risk-adjusted index for private equity evaluation based of predictive firm characteristics : An empirical study of the public firms taken private by financials buyers from 1997 to 2017 in the U.S.
(Master thesis, 2018)The objective of this thesis is to assess if there is a risk-adjusted index which could give a better understanding of the opportunity cost for private equity investments. Private equity has become a more professional ... -
Risks and returns of ship operators
(Master thesis, 2015)This thesis aims to shed some light on the risks and returns of asset-light ship operators, who are in the business of executing voyages mainly through chartered vessels, by applying principles from basic maritime economics ... -
Risky business: the impact of the economic crisis of 2008 on renewable energy investments in Canada and Norway
(Master thesis, 2009)The economic crisis of 2008 brought uncertainty to all markets. As credit markets experienced growing constraints on liquidity, debt financing became increasingly difficult to find. This had a greater impact on some ... -
Robust likviditetsstyring : en sammelikning av Den europeiske sentralbank og Norges Bank
(Master thesis, 2013)I denne utredningen har vi sammenliknet likviditetsstyringen til Den europeiske sentralbank (ECB) og Norges Bank. Vi drøfter de to systemene, samt analyserer systemenes påvirkning på korte og l ... -
ROCE/WACC og meravkastning : anerkjenner og belønner aksjemarkedet verdiskapning riktig?
(Master thesis, 2013)Formålet med denne masterutredningen har vært å undersøke om markedet priser verdiskapning riktig og dermed om markedet er effisient. Tilnærmingen til verdiskapning er gjort ved å se på ROCE/WACC. Problemstillingen for ... -
The role of brand sustainability and self-brand image congruity in developing brand trust and brand loyalty : A study on luxury brands for Generation consumers
(Master thesis, 2023)Generation Z consumers are forecasted to become the most influential generation in the next years for the purchase of luxury goods. Understanding their needs and behaviors is becoming more and more crucial for luxury ... -
The Role of Central Bank Monetary Policy on Green Innovation : An empirical analysis on the impact of real policy rates on green innovation among OECD countries
(Master thesis, 2022)This thesis investigates the relationship between policy rates and green innovation among OECD countries. The study uses patent application data as a proxy for innovation and examines the impact of real policy rates on ... -
The Role of Leadership in Managing Tensions and Ambivalence in a Coopetitive Innovation Strategy. A Case Study from the Insurance Industry
(Master thesis, 2021)In today’s dynamic, competitive, and complex business world, cooperating with your competitor is increasingly used as a firm-strategy to achieve innovation. However, such a relationship, known as coopetition, is paradoxical, ... -
The role of M&A in managing emission risk: Do acquirers use M&A to improve their emission risk, and how does emission risk affect equity performance?
(Master thesis, 2022)We study if companies use, or can use, M&A to reduce their emission risk and how this affects their short and long-term returns accounting for the materiality of emission-related issues. Our findings suggest that acquirers, ...