Department of Finance
Nye registreringer
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Home Equity-Based Borrowing and Corporate Financing : Evidence from Norwegian Private Firms
(Working paper, 2023)Home equity-based borrowing has been blamed in the literature for causing financial instability (e.g., Mian and Sufi, 2011). In this study, we examine the bright side of home equity-based borrowing. Using Norwegian ... -
Essays in Empirical Corporate Finance
(Doctoral thesis, 2023-09) -
Essays on empirical corporate finance
(Doctoral thesis, 2022-09)This dissertation consists of three essays on empirical corporate finance. It is submitted to the Department of Finance at the Norwegian School of Economics (NHH), in partial fulfillment of the requirements for the ... -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2021-10) -
Essays on Asset Pricing
(Doctoral thesis, 2021-05-10) -
Behavioral equilibrium and evolutionary dynamics in asset markets
(Peer reviewed; Journal article, 2020)This paper analyzes a dynamic stochastic equilibrium model of an asset market based on behavioral and evolutionary principles. The core of the model is a non-traditional game-theoretic framework combining elements of ... -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2020-06) -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2020-06) -
Von Neumann–Gale dynamics and capital growth in financial markets with frictions
(Journal article; Peer reviewed, 2020) -
Three essays in Empirical Finance
(Doctoral thesis, 2017-09) -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2018-08)This dissertation consists of three essays and is submitted to the Department of Finance at Norwegian School of Economics in partial fulfillment of requirements for the completion of Doctor of Philosophy degree in ... -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2019-06)This dissertation consists of three independent papers about the effect of going public on loan contracting and how institutional investors affect investments in corporate social responsibility. The first paper studies ... -
Essays on Optionality and Risk
(Doctoral thesis, 2019-08) -
Herding in Smart-Beta Investment Products
(Journal article; Peer reviewed, 2019)We highlight herding of investors as one major risk factor that is typically ignored in statistical approaches to portfolio modelling and risk management. Our survey focuses on smart-beta investing where such methods and ... -
Boyan Jovanovic: recipient of the 2019 Global Award for Entrepreneurship Research
(Journal article; Peer reviewed, 2019)The 2019 Global Award for Entrepreneurship Research has been awarded to Professor Boyan Jovanovic at New York University in the USA. Boyan Jovanovic has developed pioneering research that advances our understanding of the ... -
Nedtrapping : en fornuftig løsning for pensjonssparere?
(Master thesis, 2017)I masterutredningen har vi sett nærmere på innskuddspensjon og hvilke produkter som tilbys i dette markedet. Selv om innskuddspensjon er et relativt nytt produkt i norsk sammenheng, har det allerede vært flere ulike ... -
Passiv forvaltning av obligasjoner i det norske markedet : en simulering av passiv indeksforvaltning basert på Nordic Bond Pricing sin «Regular Market Index» for 2015-2016
(Master thesis, 2017)Passiv forvaltning har til nå vært lite benyttet i det norske obligasjonsmarkedet. I utlandet, og særlig i det amerikanske markedet, er det derimot en økende andel obligasjoner som blir forvaltet passivt. I USA forventes ... -
High Yield Bonds or Junk Bonds?
(Master thesis, 2016)The objective of this thesis is to calculate the returns in the Norwegian high yield bond market between 2005 and 2015. To further strengthen our results, we attempt to find and measure explanatory factors for the differences ... -
Learning by Failing, or Failing to Learn?
(Master thesis, 2016)This thesis investigates the effects on company performance of employing a CEO with bankruptcy experience. Bankruptcy experience refers to that the incumbent CEO has previously filed for bankruptcy as CEO in another ...