Blar i Department of Finance på tittel
Viser treff 8-27 av 54
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Callable risky perpetual debt with protection period
(Journal article; Peer reviewed, 2010)Issuances in the USD 260 Bn global market of perpetual risky debt are often motivated by capital requirements for financial institutions. We analyze callable risky perpetual debt emphasizing an initial protection (‘grace’) ... -
Corporate governance in private equity : do boards really matter? : an empirical study of Norwegian private equity
(Master thesis, 2015)We examine how private equity funds a↵ect corporate governance in Norwegian portfolio companies. We find that general partners do not prioritize the board as long as everything is going according to plan. We also find ... -
Corporate restructuring
(Working paper;2013:3, Working paper, 2013)We survey the empirical literature on corporate nancial restructuring, including breakup transactions (divestitures, spin-o s, equity carveouts, tracking stocks), leveraged recapitalizations, and leveraged buyouts (LBOs). ... -
Does tradeoff theory explain high-frequency debt issuers?
(Working paper, 2015-07)Over the past forty years, one-third of the publicly listed industrial firms in the U.S. raised two- thirds of all public and private debts (net of debt rollovers). We use these high-frequency debt issuers (HFIs) - large ... -
Dynamic portfolio optimization with transaction costs and state-dependent drift
(Working paper;2014:1, Working paper, 2014)We present an efficient numerical method to determine optimal portfolio strategies under time- and state-dependent drift and proportional transaction costs. This scenario arises when investors have behavioral biases or ... -
Essays in Empirical Corporate Finance
(Doctoral thesis, 2023-09) -
Essays in Household Finance
(Doctoral thesis, 2023-09) -
Essays on Asset Pricing
(Doctoral thesis, 2021-05-10) -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2020-06) -
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 Empirical Corporate Finance
(Doctoral thesis, 2021-10) -
Essays on Empirical Corporate Finance
(Doctoral thesis, 2020-06) -
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, 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 Optionality and Risk
(Doctoral thesis, 2019-08) -
Et marked for G? : en undersøkelse av grunnbeløpets markedspotensial
(Master thesis, 2015)Grunnbeløpet i Folketrygden er i dag en beregningsfaktor som påvirker oss alle gjennom forskjellige trygde-, pensjons- og forsikringsordninger. Når grunnbeløpet hvert år endres er det enorme beløp som påvirkes. Det eksisterer ... -
For mye eller for lite lån? : Betydningen av banker og kreditt i oppgangs- og nedgangstider
(Journal article; Peer reviewed, 2012)Betydningen av bankenes rolle som formidler av kreditt til næringslivet fikk spesielt fokus i finanskrisen. Fra et forskningsperspektiv gir virkningene av krisen også en nyttig mulighet til å analysere bankers rolle og ... -
Fragmentation and stability of markets
(Working paper;2013:7, Working paper, 2013-07)Trading skills are highly rewarded in practice but largely ignored in theoretical models of financial markets. This paper demonstrates the importance of skills by exploring their interaction with market fragmentation and ... -
Fripoliser : er det fornuftig å gi fra seg rentegarantien?
(Master thesis, 2016)Masteroppgaven er skrevet i forbindelse med fordypningen i finansiell økonomi ved Norges Handelshøyskole. Temaet for oppgaven har vært forvaltning av fripoliser, og følgende problemstilling er besvart: For hvilke ...