Stockholm Stock Exchange and Environmental Rating – A Multifactor Analysis

dc.contributor.authorHelldén, Carl
dc.contributor.authorLamers, Julia
dc.contributor.departmentUniversity of Gothenburg/Graduate Schooleng
dc.contributor.departmentGöteborgs universitet/Graduate Schoolswe
dc.date.accessioned2022-06-29T11:05:55Z
dc.date.available2022-06-29T11:05:55Z
dc.date.issued2022-06-29
dc.descriptionMSc in Financeen
dc.description.abstractThe thesis investigates if investors can generate positive abnormal performance by investing in Environmental high-rated stocks on the Stockholm stock exchange based on three screening strategies; positive, negative and best-in-class for value-weighted, long-only and long-short portfolios. The sample is between 2010-2020, using CAPM, Fama-French three factor model and Carhart four factor model. The results show that the long-only portfolios with the positive and negative screening strategies generate positive and significant results, where the negative generates the strongest result with a monthly return of 0.0156% with Carhart. The best-in-class screening strategy generates mixed and inconclusive results for all portfolios. The thesis concludes that the result is mixed and that investors do wisely by investing in long-only portfolios using the positive and-or negative screening strategies.en
dc.identifier.urihttps://hdl.handle.net/2077/72404
dc.language.isoengen
dc.relation.ispartofseries2022:167en
dc.setspec.uppsokSocialBehaviourLaw
dc.subjectESGen
dc.subjectEnvironmentalen
dc.subjectasset pricing modelsen
dc.subjectscreening strategiesen
dc.titleStockholm Stock Exchange and Environmental Rating – A Multifactor Analysisen
dc.typeText
dc.type.degreeMaster 2-years
dc.type.uppsokH2

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