Department of Economics
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- 2020
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Mark
Credit Default Swap Bond Basis Trading Opportunities in Times of Economic Uncertainty in European Financial Market
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- Master (One yr)
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Mark
A comparative study of VaR and ES using extreme value theory
(
- Bach. Degree
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Mark
Do Environmental Portfolios Pay? Risk and return of environmentally friendly investment portfolios
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- Master (One yr)
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Mark
Exchange Rate Volatility and International Trade: A Panel Data Analysis for Asian Countries
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- Master (Two yrs)
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Mark
Intraday Seasonality in EUR/SEK Returns
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- Master (One yr)
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Mark
Alfa-sorterad nollinvesteringsstrategi
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- Bach. Degree
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Mark
Trade in the Periphery Portugal’s trade integration in the EU
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- Bach. Degree
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Mark
Were Swedish Banks Prepared for the Great Lockdown? Stress Testing Banks’ Capital Levels in Light of Historical Crises and Covid-19
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- Master (Two yrs)
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Mark
Do Colon Cancer Screening Programs Reduce Mortality? Evidence from Spain
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- Master (Two yrs)
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Mark
Portfolio Optimization using the Entropic Value-at-Risk: An Investor Preference Approach
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- Master (One yr)