Sök:

Sökresultat:

428 Uppsatser om Election finance - Sida 8 av 29

Finansiell psykologi : En empirisk studie av olika faktorers påverkan inom finansbranschen

Investors have been shown to be driven by emotional and psychological factors. This contradicts classical financial theories, for example the Efficient Market hypothesis which states that all investors act rationally. Behavioural Finance is an area of study which describes various psychological factors which may result in irrational investor behaviour.The primary question of the study is: which factors do operating people in the financial sector consider themselves to be influenced by? The purpose of this study is to investigate the factors which affect the process of creating forecasts or making financial decisions. The study examines in addition if there is a correlation between length of investor experience and overconfidence in forecasting accuracy and investment decision making.The study includes both quantitative and qualitative analysis.

Krisen på Wall Street : En analys av sju artiklar från tidningen Affärsvärlden och fem artiklar från tidningen XINHUA om banken Lehman Brothers konkurs 17 september 2008

The crisis on Wall Street. This essay is a comparative study of how two business newspapers report on the bankruptcy of Lehman Brothers Holdings in September 2008. Seven articles from the Swedish European financial newspaper Affärsvärlden (Business World) and five articles from the Chinese-Asian news agency XINHUA FINANCE are examined. The aim is to analyze, understand and evaluate from a rhetorical perspective. My thesis is that rhetors storytelling can tell us more about how we cope with crisis in the global economic discourse. The texts can portray man as a narrative creature when identification as a rational actor is not enough. The analytical methods used are linguistic analysis with an emphasis on metaphor analysis, narrative analysis based on pentad - Critical dramatism, and discourse analysis with doxological outlook. The results show that both newspapers seek to defend the global economic discourse, but they do so in different ways. Affärsvärlden advocates calmness and conveys a cautious attitude. The heart of the crisis, as well as its solution, is on Wall Street. XINHUA advocates control and expresses confidence in authorities and the system. Asia is presented as Wall Street's savior..

Demokratins tjänare eller medielogikens lakejer? : En studie av fyra tidningars gestaltning av politik i samband med riksdagsvalet 2014.

From a democratic viewpoint, the way in which the media frames politics is essential. Should issue frames be left out in favor of other types of frames, it could result in voters struggling to make informed decisions come Election Day. What is more, research shows that game frames may cause lack of confidence in politicians and declining political interest. Against this background, the present study aimed to find out how two broadsheets, Dagens Nyheter and Svenska Dagbladet, and two tabloids, Aftonbladet and Expressen, framed politics in connection with the 2014 Swedish parliamentary elections. The thesis also intended to identify possible differences between the two newspaper types and to make tentative comparisons with previous studies so as to be able to comment on framing developments.

Portföljoptimering med courtageavgifter

Ever since it was first introduced in an article in the Journal of Finance 1952, Harry Markowitz? mean - variance model for portfolio selection has become one of the best known models in finance. The model was one of the first in the world to deal with portfolio optimization mathematically and have directly or indirectly inspired the rest of the world to develop new portfolio optimization methods. Although the model is one of the greatest contributions to modern portfolio theory, critics claim that it may have practical difficulties. Partly because the Markowitz model is based on various assumptions which do not necessarily coincide with the reality.

Ta parti! : Gymnasieelevers uppfattade påverkan inför riksdagsvalet 2010

In this examination project I look into what ways upper secondary school students conceive themselves as politically influenced before they voted for the general election of 2010. The purpose is to examine which influences the upper secondary school surroundings and the classes of civic education are contributing with to students before they voted. As a method, I have used personal, semi-structural interviews on eight upper secondary school students who all voted for a party represented in the parliament. I have asked questions about how they believe their parents, the surroundings of their school and the classes of civic education have influenced them. To separate which influences primarily the upper secondary school and the classes of civic educations have had on the students, I have selected two comparison groups of four students in each.

Småbolagseffekten och investeringsstrategier i småbolagsaktier på Nasdaq OMX Stockholm

Bakgrund:Småbolagseffekten påvisades först av Banz (1981) och Reinganum (1981) som kom fram tillatt småbolag genererade högre avkastning än stora bolag under samma period. Effekten syntes även stabil över tiden vilket ej är förenligt med Capital Asset Pricing Model (CAPM) och den effektiva marknadshypotesen (EMH).Syfte:Syftet med denna uppsats är att undersöka om det finns någon påvisbar småbolagseffekt påNasdaq OMX Stockholm och huruvida den i så fall har varit konstant under studieperioden. Vidare syftar studien till att undersöka huruvida relativvärdering av småbolagsaktier framgångsrikt kan användas för att generera överavkastning.Metod:Studien baseras på en kvantitativ metodansats med ett deduktivt angreppssätt. Behövd datasamlas in och sammanställs för att sedan användas för att skapa portföljer som studeras och analyseras baserat på prestation.Slutsats:Studien  har  ej  kunnat  påvisa  en  småbolagseffekt  under  hela  studieperioden.  Underhögkonjunktur har dock en småbolagseffekt kunnat påvisas. Vidare har studien kunnat visa att relativvärdering av småbolagsaktier genererar både absolut och riskjusterad överavkastning jämfört med studiens småbolagsportfölj och marknadsindex (AFGX).

Bull´s Eye? : Träffsäkerheten i analytikers prognoser

Background: An evaluation of analysts´ forecasting ability is interesting since their estimates constitute an important part in stock valuation and investment decisions. The recent years´ development in the stock market has lead to criticism of analysts? deficient forecasts. Purpose: The purpose of this thesis is to evaluate analysts´ forecasting ability concerning companies quoted at Stockholmsbörsen between 1987 and 2002. We also intend to discuss possible explanations for analysts? behavior in case of deficient accuracy.

Kapitalstruktur i små företag : En kvantitativ och en kvalitativ studie

Background: In the current labor and business policy debate in Sweden there is a major focus on the need for it to become easier to set up small firms, and that it needs to become easier for small firms to hire staff. In order to set up and run a business, funding is required. Firms can choose to work more or less actively with this issue, but they all need to relate to it. There are basically two ways to fund a business, either through equity or through debt. The ratio between these two sources is called the firm?s capital structure.Purpose: To chart the capital structure of small firms in Sweden.

Politiska bloggar i det amerikanska presidentvalet : Bloggande svenska riksdagsledamöter om resultatet i 2008 års amerikanska presidentval

 The 2008 U.S. Presidential Elections were in many ways special, where the USA got its first president of Afro-American origin, Barack Obama. The elections will also be historical since the great use of social medias - as the community Facebook, the video sharing site YouTube and web based diaries, blogs - broke through during the campaigns. This study's purpose was to examine how a few members of the Swedish parliament described the result of the Presidential Elections in their blogs. The main question - how the election results were described in the blogs - was divided into three themes, created on the basis of the blog's content.

Irrationella investerare : En litteraturstudie av behavioural finance

Course:Business Administration, Master Thesis, Second Level, 30 Credits.Authors:Sara Frännlid and Helena RamstedtTutor:Jim AndersénTitle:Internet, relationships and loyalty ? Best praCtice foR the bankMarketPurpose:The study aims to explain how banks use electronic customer relationship management, eCRM, to create loyal customers. A figure will be created, which will enlighten the factors a bank should focus on when enhancing customer loyalty through the internet. Through interviews with two successful banks is it possible to study how a bank can successfully create loyal customers.Methodology:A qualitative method in terms of semi-structured interviews is used. The empirical results were then analyzed with the theory in order to contribute with a new figure.Theoreticalperspective:The theory describes how a bank can create a loyal customer over the Internet.

Utanförskapandet - en diskursanalys av begreppet utanförskap

In this essay my aim is to examine how the term utanförskap is constructed and defined as a social problem in the public arena of the Swedish Parliament. The term utanförskap was widely used in the election-campaign prior to the Swedish Parliament election in the year 2006. The term, mainly articulated by the Right-wing Alliance, was used to describe indi-viduals and groups that were depicted as being outside the Swedish society. In the political debate, work and benefit dependency were constructed as binary opposites, with the latter describing the individuals in utanförskap. Translated to English the term utanförskap would be something like ?the state of being outside? or ?outsidership?.

Omval på gymnasiet

Genom praktiska och teoretiska studier på studie- och yrkesvägledarprogrammet har vi kunnat se en ökning av de elever som gör ett omval efter ett år på gymnasiet. Syftet med undersökningen var att se bidragande orsaker till att ett eventuellt omval sker. En kvalitativ studie har gjorts genom intervjuer med fem elever som gått ett år på sitt omvalda gymnasieprogram. Detta resultat har ställts i relation till Linda. S Gottfredsons teori kring begreppen begränsningar och kompromisser i studievalet samt SCCT-teorin där fokus ligger på självskattning.

Populärmusikscenernas finansiering: en fallstudie av Pinkerton

The purpose of this thesis was to describe the economic situation for popular culture venues. During the study, four different ways of financing were encountered. These are sponsorship, volunteers, government funding and ticket sales. A case study, based on interviews, were conducted on Pinkerton, a non-profit organisation. The result showed that Pinkerton needs a solid subsidy from government funding.

Bemanningsföretagens strid i kampen för det mänskliga kapitalet

The study explores collective action in Sweden between 1980 to 1995 using time-series data from the European Protest and Coercion Database. In spite of severe hardship during the crisis of the early 1990s, Swedish strike-rates declined. However, contention merely shifted from workplaces into the streets; there was indeed a protest movement against austerity, as shown by a series of large demonstrations, and some riots, between 1989 and 1993. Further analysis indicates this movement faded as it was increasingly chanelled into the electoral campaign of the labor pary; having won the 1994 election, the organised labor movement no longer had an interest in sustaining the protest movement against austerity..

Aktieanalytikers förmåga att prognostisera aktiekurser : Påverkansfaktorer för träffsäkerheten

Bakgrund: Affärspressen publicerar dagligen rekommendationer och riktkurser från aktieanalytiker och dess analyser kan anses ligga till grund för investeringsbeslut hos såväl privata som institutionella investerare. Aktieanalytikers förmåga att prognostisera aktiekurser är ett outforskat område med endast ett fåtal publicerade studier på variabeln riktkurs. Tidigare studier fokuserar på att utvärdera träffsäkerheten i prognoserna men få av dessa bidrar till förståelse kring vad som påverkar prognosfelens storlek.Syfte: Syftet med studien är att analysera aktieanalytikers förmåga att prognostisera framtida aktiekurser.Genomförande: Studiens deduktiva ansats gör att resultat från tidigare studier ligger till grund för formulering av forskningsfrågor och utformning av tänkbara påverkansfaktorer för träffsäkerhet. Träffsäkerheten i riktkurserna analyseras via regressionsanalys där det absoluta prognosfelet är beroende variabel medan de formulerade påverkansfaktorerna är förklarande variabler. Vidare studeras en eventuell närvaro av överoptimism i prognoserna genom att undersöka fördelningen av det relativa prognosfelet via T-test.Resultat: Aktieanalytikers riktkurser påverkas av flertalet faktorer, där ett bolags storlek och beta uppvisar tydligast samband med träffsäkerheten.

<- Föregående sida 8 Nästa sida ->