Master's theses 1995

Aittola, Antti, 1995, Economic exposure: Determining the correct hedge length for continuous uncertain foreign currency cash flow.

Halén, Marco, 1995, Korkoriskiltä suojautuminen ja korkojen ennustaminen Suomessa vuosina 1991-1994.

Hyvärinen, Marko, 1995, Pienten ja keskisuurten yritysten reittaus.

Joensuu, Petteri, 1995, Artificial Neural Networks in Finance; Market Efficiency in the Finnish Stock Market.

Järvelä, Jukka, 1995, Systematic Risk Factors in the Finnish Stock Market 1989-1994.

Kivinen, Jaakko, 1995, Market timing of seasoned equity offerings: Evidence from Helsinki Stock Exchange 1980-1994.

Koponen, Kalervo, 1995, Valuation of Asset Leasing Contract Options.

Kulp, Kaj, 1995, Initial public offerings in Finland.

Lehtikuusi, Markku, 1995, Equity Warrants, Valuation and Effects on the Underlying Stock: Empirical Investigation.

Leppä, Jukka-Pekka, 1995, Optioiden hinnoittelu ja suojautumisstrategiat FOX-johdannaismarkkinoilla 2.5.1988-23.2.1995.

Miettinen, Sami, 1995, Executive Stock Options as Managerial Compensation.

Nieminen, Jarmo, 1995, OMR Oy:n eri metalliprojektien diskonttokorkojen määrittäminen.

Orjatsalo, Jarkko, 1995, Portfolio insurance using futures: Evidence from the Finnish stock index futures market 1991-1994.

Peura, Samu, 1995, A Two-Variable Model for Numerical Evaluation of Convertible Bonds.

Ryhänen, Jukka, 1995, Volatility forecasting on Bund and Gilt futures market.

Turunen, Henri, 1995, Teknologiayritysten rahoitus.

Vuolteenaho, Tuomo, 1995, On that noisy place in Wall Street.

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