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dc.contributor.authorkollberg, gustav
dc.contributor.authorskantze, john
dc.date.accessioned2022-06-29T11:14:31Z
dc.date.available2022-06-29T11:14:31Z
dc.date.issued2022-06-29
dc.identifier.urihttps://hdl.handle.net/2077/72406
dc.descriptionMSc in Financeen_US
dc.description.abstractWe investigate what factors determine the choice of the payment method when choosing between payment of stocks or cash during an acquisition or merger. Furthermore, we examine how that choice of payment method affects the bidder’s performance in the short term by examining the changes in the cumulative abnormal return. The sample consists of 2,647 transactions in the European Developed Markets covering the years 1998 - 2021. Our results show that factors related to Capital Structure, Deal Characteristics, Profitability of the Bidder and Non-Financial Characteristics drive the choice of the payment method, similar to earlier findings. The results are further explained by the theories of Opportunistic Behaviour and Rational Payment Design. Additionally, stock payments create a significant negative cumulative abnormal return and a significantly lower return than cash payments, based on an event window of three days.en_US
dc.language.isoengen_US
dc.relation.ispartofseries2022:169en_US
dc.subjectPayment Methoden_US
dc.subjectStock Biden_US
dc.subjectCash Biden_US
dc.subjectDeterminants of the Payment Methoden_US
dc.subjectCumulative Abnormal Returnen_US
dc.subjectOpportunistic Behaviouren_US
dc.subjectRational Payment Designen_US
dc.subjectM&Aen_US
dc.subjectInformation Asymmetryen_US
dc.subjectAdverse Selectionen_US
dc.titleStock or Cash? Explaining the Payment Method Choice of M&As and the Effect on Performance on the European Developed Marketsen_US
dc.typeText
dc.setspec.uppsokSocialBehaviourLaw
dc.type.uppsokH2
dc.contributor.departmentUniversity of Gothenburg/Graduate Schooleng
dc.contributor.departmentGöteborgs universitet/Graduate Schoolswe
dc.type.degreeMaster 2-years


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