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- 2022
-
Mark
ESG Portfolios in Different Markets - Investigating the Relationship Between ESG Performance and Financial Performance
(
- Master (Two yrs)
-
Mark
The ESG-Risk Relationship - A study of the relationship between ESG and firm-specific risk of publicly traded firms in Sweden
(
- Master (Two yrs)
- 2021
-
Mark
Responsible Investing: Costs and Benefits. A Cross-Country Study in Europe.
(
- Master (One yr)
-
Mark
Returning to Quality: An Empirical Investigation of Short Sale Constraints Effect on a Quality Investment Strategy
(
- Master (Two yrs)
-
Mark
Modeling stock market liquidity using macroeconomic variables: Evidence from Sweden
(
- Master (Two yrs)
- 2020
-
Mark
Implications of Green Bond Issue Announcements on Equity Prices
(
- Master (One yr)
-
Mark
Does Quality Matter?
(
- Master (One yr)
-
Mark
ESG Performance in Exchange Traded Funds (ETFs) and Fixed Income in the Context of Home Bias
(
- Master (One yr)
-
Mark
The Incorporation of ESG Scores into Factor based Investment Decisions. Does ESG Integration necessarily come with a Financial Trade-off?
(
- Master (One yr)
-
Mark
The Effects of Equal Weighting and Rebalancing on Portfolio Performance
(
- Bach. Degree