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5347 Uppsatser om Atmosfärisk ljudutbredning - Sida 8 av 357
Rysslandsfonder : En analys av utveckling och risk mellan Ären 1999 och 2005
Rysslandsfonder Àr en av mÄnga fonder som finns tillgÀngliga för att investera i. Ryssland har haft en starkutveckling de senaste Ären. I uppsatsen görs en jÀmförelse av utveckling och risk mellan Rysslandsfonder och den svenska markanden representerad av SIX Return index. Utvecklingen hos Rysslandsfonderna har mÄnadsvis under perioden 1999-2005 varit betydligt mer gynnsam Àn för det representerade Sverige index. Risken med standardavvikelse som en indikator för detta visar att det innebÀr en större risk att investera i Rysslandsfonder.
Investerarens guide till hedgefondsstrategier
ABSTRACTTITLE The investors guide to hedge fund strategies ? A comparing study of hedge fund strategies on the Swedish market.COURSE Bachelor Thesis in Finance KEYWORDS Hedge funds, Hedge fund strategies, Swedish hedge fund market, Investors, Average return, Riskadjusted returnThe ThesisInvestor?s general knowledge about hedge funds and hedge fund strategies, is compared to other investment alternatives low. The purpose of this thesis is therefore to clarify to investors how examined hedge fund strategies separate concerning risk and return in hedge funds. This, in order to facilitate for investors understanding which hedge fund strategy will be more suitable for them. To achieve this, the thesis is mainly focusing on quantitative data, which is complemented with qualitative findings in terms of a questionnaire.
Riskhantering i offentliga och privata företag
The purpose of our essay is to investigate and compare the general and operational risk management in the private and public sector. As an introduction to the subject we describe the differences and similarities between the two sectors. Our survey is based on the term risk, the definitions of risk management, its development and finally the process of risk management. Since our survey is focusing on operational risks we also describe the operational process and the specific operational risks.The method we used to investigate the subject is a quantitative method. A survey was sent to 100 companies in Sweden, of which 50 were private companies and 50 were public companies.
Förskolebarn med externaliserade och internaliserade problem Àr ingen homogen grupp
Some children develop externalizing and internalizing behavior problems at an early age. Previous research has often treated these children as a homogeneous group, the purpose of this study is to show that this group of children is in fact heterogeneous. Data from theSOFIAstudy was used and preschool pedagogues were informants. The sample contained 2121 boys and girls between 3-5 years. Groups of children with the behavior problems and the risk factors AD/HD symptoms, fearlessness and callous-unemotional traits were created.
Privata markÀgares syn pÄ vindskadeförebyggande ÄtgÀrder :
Wind and wind damage has become a hot subject because of the storm ?Gudrun? in January 2005. The main purpose of this study was to establish how the land owners attitude toward preventive wind damage actions was changing immediately after they had been struck by a storm.
The result of the study was built on interviews. In springtime 2005 a total number of 20 private land owners were interviewed. Ten of the landowners lived in the province of SmÄland and ten in the province of VÀrmland.
Inventering och riskklassning av nedlagda deponier enligt Metod för Inventering av Förorenade OmrÄden (MIFO), Uppsala kommun : SpridningsförutsÀttningar och transportprocesser i deponier samt ansvaret för förorenad mark
This master thesis encompasses an inventory and risk classification of four disused landfills within the municipality of Uppsala, Sweden. The model of the classification; ?Method of Surveying Contaminated Sites? is developed by the Environmental Protection Agency and can be used as a framework to investigate and describe the environmental damage and the level of risk for each object. The risk classification model has a rating from 1 to 4, where 1 represents a very high risk while 4 is a small risk. Risk class depends largely on the type of land use that exists on the object, and hence, various benchmarks must be taken into account.
Ska vi byta vÀder? -VÀderderivat som riskhanteringsinstrument
Background: As a result of the financial markets ever ongoing product innovation a new derivative was introduced in the USA in 1997. A derivative that derived it's value, not from the price of an underlying asset, but instead from a climate factor. It's been known for a long time that revenue in certain industries are affected by weather conditions. The suppliers of weather derivatives claim that these weather sensitive businesses can user weather derivatives in order to lessen weather risk. Purpose: To do a critical evaluation of how weather derivatives can be used by companies as a risk management tool.
Studenters kollektivtrafik : Studenters preferenser och önskemÄl pÄ ett nytt biljett- och informationssystem inom kollektivtrafiken i VÀrmland
Abstract Over the years the consciousness of risk has grown. It?s hard to influence risks, therefore there are guidelines stating that significant risk must be included in the annual report. This paper is a case study; the purpose was to examine how four Swedish listed companies chose to disclose their internal and external risks. Risk is initially described in general sense and then it figures to what constitutes an economic risk.Through a case study of four Swedish listed companies? annual reports we have, through qualitative methods found how the companies chose to disclosure their risks.
Branschfonders risk och avkastning : Hur pÄverkar konjunkturcykeln?
Background: Funds have become a more popular way for investments. After the financial crisis in 2008 there was some sectors that shown a better results than other depending if the sector was affected by the economic situation or not. Therefore can investments in sector funds be a good way to get a high return, but it also has a high risk.Problem: Has the risk any impact on the return considered funds in sectors that is affected by the economic situation relatively to sectors that isn?t affected by the situation in the economy?Purpose: Determine whether sector funds risk has any impact on the return. Also if there are any differences between sectors depending if they are affected by the economic situation or not.
Riskupplevelser hos trafikanter : sett ur ett förarperspektiv
The primary aim of the current study was to gain increased knowledge about drivers' risk experiences. The study was based on questionnaires answered by 30 private drivers and 30 bus drivers, with 50% men and 50% woman in each group. The study revealed no differences, either between men and women drivers with regard to their experience of risk, or between the groups of private and bus drivers. Gambling is common within the private drivers group. Mistakes are common in all groups.
Risk Management - DÄ och nu : Studie av företags riskhantering efter finanskrisen 2007-2010
Studien syftar till att belysa finanskrisens reella pÄverkan pÄ företagens finansiella riskhantering. LÀsaren ska ocksÄ fÄ en ökad förstÄelse för hur ett mindre antal svenska företag hanterar sin finansiella risk och hur denna hantering mÄhÀnda har förÀndrats.I denna studie har det framkommit att företag bÄde i Kalmar, Emmaboda och BorÄs inte i nÄgon större utstrÀckning pÄverkats av den finansiella krisen som rÄdde mellan 2007-2010. Det som har skett i tvÄ av företagen Àr en ökad intern kontroll och ökad krav vad gÀller kontroll av kontroller för att pÄ sÄ vis minimera risk för företagets intressenter. SÄledes har en viss pÄverkan skett som följd av finanskrisen och arbetet med riskhantering för ett urval av företag i Sverige.Respondenternas instÀllning till finanskrisens 2007-2010 pÄverkan har varit att de inte har förÀndrat sitt dagliga arbete nÀmnvÀrt som följd av krisen..
Upplysningar om risker och osÀkerhetsfaktorer
Uppsatsens syfte Àr att förklara skillnaden i varför företag noterade pÄ Stockholmsbörsen lÀmnar olika upplysningar om risker och osÀkerhetsfaktorer. Studien baseras pÄ företag noterade pÄ Stockholmsbörsen OMX, Large-, Mid-, och Small Cap. Sammanlagt granskas 200 noterade bolag utifrÄn dess Ärsredovisningar. Undersökningen delas in i fyra olika riskkategorier; finansiell risk, affÀrsrisk, operationell risk samt strategisk risk. Varje kategori, med sina beroende variabler, analyseras var för sig.
H?llbarhetsprestation och finansiell volatilitet. En studie om sambandet mellan ESG-po?ng och aktievolatilitet
This paper aims to explore the relationship between financial risk and ESG scores in order to assist investors in making investment decisions. We investigate the hypothesis that there is a relationship between the ESG score of a company, and the financial risk in terms of volatility in the relevant company?s share price. The paper is grounded in sustainability reporting and financial risk. With the world facing significant changes and natural disasters, there is an urgent need for action to mitigate environmental impacts to avoid devastating consequences.
Ăr direktĂ€gda bostadsfastigheter en bĂ€ttre investering Ă€n aktier? : En studie över riskjusterad avkastning
Background:Investments in different forms have always been popular to every human being. For the most common investments, such as stocks and bonds, there are loads of information to gather for the investor. Historical data like risk, return, dividends and fundamental data like annual reports are often very easy to find, regarding these kinds of investments. The background of this thesis is the lack of market information in residential real estate investments. A problem with this investment is that there is lack of information regarding risk adjusted return for real estates, which this thesis intends to present.Objective:The objective with this thesis is to study which alternative, directly-owned residential estates or stocks, who generates the highest risk adjusted return.
Riskhantering av kritiska infrastrukturtjÀnster : En studie av Apotekens Service ur ett HRO-perspektiv
Risk management has become a key ingredient for businesses all over the world. High Reliability Organizations (HRO) has distinguished themselves as experts in this area. By continuously focusing on improving their ability to manage risks they?ve been able to successfully avoid catastrophes in environments where normal accidents can be expected due to complexity and risk factors.The aim of the thesis is to improve the risk management at Apotekens Service by applying theories from HRO and safety culture. In July 2009, following the re-regulation of the Swedish pharmacy market, Apotekens Service AB was appointed national pharmacy infrastructure supplier for the Swedish health care system.