In this thesis three risk appetite indexes are derived and measured from the beginning of 2006 to the end of the first quarter in 2019. One of the risk appetite indexes relies on annualized returns and volatilities from risky and safe assets while the others relies on subjective and risk neutral probability distributions. The distributions are obtained from historical data on equity indexes and from a wide spectrum of option prices with one month until the options expires. All data is provided by Refinitiv through Öhman Fonder. The indexes studied throughout the thesis is provided by authors from financial institutions such as Bank of England, Bank of International Settlements and Credit Suisse First Boston. I conclude in this thesis that t...
Purpose: The purpose of this thesis is to analyze how different portfolio compositions on the Stockh...
Bakgrund: Marknadens riskpremie är en central och oerhört viktig ekonomisk variabel vid investerings...
Alternative assets are becoming a considerable portion of global financial markets. Some of these al...
In this thesis three risk appetite indexes are derived and measured from the beginning of 2006 to th...
Ett vanligt förekommande problem för investerare som använder trendföljande strategier är att de oft...
Purpose: The study examines the risk a rising from the acquisition of shares, and its relation to th...
As an investor, the goal is to get as high return at as low risk as possible on an invested stock. T...
In this thesis we set out to study the prediction accuracy of statistical quantities related to port...
In order to create a sustainable portfolio, more sustainable assets may be chosen to be included and...
This study is based on a statistical analysis of fundamental key ratios on the Stockholm Stock Excha...
Purpose The purpose of our study was to investigate the changing nature of volatility during the las...
Fastighetssektorn är en kapitalintensiv bransch och under de senaste åren har det skett en förändrin...
Bakgrund: De svenska börsbolagen gör större vinster än någonsin tidigare, men har fått stor kritik f...
In this essay we have been studying the development of investment companies that is traded at Mid Ca...
The demand for sustainable investments has seen an increase in recent years. There is considerable l...
Purpose: The purpose of this thesis is to analyze how different portfolio compositions on the Stockh...
Bakgrund: Marknadens riskpremie är en central och oerhört viktig ekonomisk variabel vid investerings...
Alternative assets are becoming a considerable portion of global financial markets. Some of these al...
In this thesis three risk appetite indexes are derived and measured from the beginning of 2006 to th...
Ett vanligt förekommande problem för investerare som använder trendföljande strategier är att de oft...
Purpose: The study examines the risk a rising from the acquisition of shares, and its relation to th...
As an investor, the goal is to get as high return at as low risk as possible on an invested stock. T...
In this thesis we set out to study the prediction accuracy of statistical quantities related to port...
In order to create a sustainable portfolio, more sustainable assets may be chosen to be included and...
This study is based on a statistical analysis of fundamental key ratios on the Stockholm Stock Excha...
Purpose The purpose of our study was to investigate the changing nature of volatility during the las...
Fastighetssektorn är en kapitalintensiv bransch och under de senaste åren har det skett en förändrin...
Bakgrund: De svenska börsbolagen gör större vinster än någonsin tidigare, men har fått stor kritik f...
In this essay we have been studying the development of investment companies that is traded at Mid Ca...
The demand for sustainable investments has seen an increase in recent years. There is considerable l...
Purpose: The purpose of this thesis is to analyze how different portfolio compositions on the Stockh...
Bakgrund: Marknadens riskpremie är en central och oerhört viktig ekonomisk variabel vid investerings...
Alternative assets are becoming a considerable portion of global financial markets. Some of these al...