Investment Banking: IPO and Risk Management
Zanni, Alessandro (2015)
Zanni, Alessandro
Satakunnan ammattikorkeakoulu
2015
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Julkaisun pysyvä osoite on
https://urn.fi/URN:NBN:fi:amk-2015110315885
https://urn.fi/URN:NBN:fi:amk-2015110315885
Tiivistelmä
The purpose of this thesis was to understand the main tasks of investment banks. Especially, this thesis was focused on the IPO process and the risk management. The case study, concerning Nordea and Säästöpankki, was done to explain differences between commercial banks and investment banks, but at the same time use the relations between them to arrive to a final conclusion about IPO and risk with reliable data.
The interviews were semi-structured therefore, I had the possibility to ask more questions and I collected more data than expected.
The results are a confirmation of the validity of the theoretical part, an interesting comparison between the level of risk in commercial banks and investment banks and the similarity of the forecast tools used from all the types of banks.
The interviews were semi-structured therefore, I had the possibility to ask more questions and I collected more data than expected.
The results are a confirmation of the validity of the theoretical part, an interesting comparison between the level of risk in commercial banks and investment banks and the similarity of the forecast tools used from all the types of banks.