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Risk–return relationship in the Finnish stock market in the light of Capital Asset Pricing Model (CAPM)
(Routledge, Taylor & Francis, 2019)
The relationship between the risk and return has always been a topic of interest to investors and academics. Capital Asset Pricing Model (hereafter, CAPM) is one of the most important theoretical foundations in the field ...
Board of directors, capital structure, investment decisions and firm-performance: An Empirical study of nordic firms
(Virtus Interpress, 2020)
Firms‟ financing, boards of directors‟ characteristics, investments, and firm-performance (financial and non-financial) occupy a pivotal place in corporate finance and corporate governance literature. The current study ...