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- 2018
-
Mark
Credit risk and stock return - An investigation of the credit risk premium
(
- Master (One yr)
-
Mark
The Adverse Side-Effects of Negative Interest Rate Policies on Banking Stability
(
- Master (One yr)
-
Mark
Risk-Based Portfolio Allocation Strategies with a Focus on Sustainable Stocks in Sweden
(
- Master (One yr)
- 2017
-
Mark
Wealth Inequality and Mobility - Evidence from the Forbes World Billionaires List
(
- Master (One yr)
-
Mark
Mutual fund performance in the Swedish premium system - Beyond the mean-variance framework
(
- Master (One yr)
-
Mark
Current Account Imbalances in the European Monetary Union
(
- Master (Two yrs)
-
Mark
The Search Continues -Problems of finding a consistent performance measure for Hedge Funds
(
- Master (One yr)
-
Mark
Risk-Managed Momentum in Europe
(
- Master (One yr)
-
Mark
Risk Aversion & Asset Allocation in a Low Repo Rate Climate
(
- Bach. Degree
-
Mark
Commodity futures as an instrument for portfolio diversification
(
- Master (One yr)