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442 Uppsatser om Inflation-adjusted - Sida 5 av 30
Diabetessköterskors information och undervisning till patienter med diabetes
The purpose of this study was to describe how nurses, working in primary health care and responsible for diabetes care, reflected on patient information and education, its? content and experiences of providing it. The study had a descriptive design and seven nurses from seven health care units in the middle of Sweden participated in the study. Data were analyzed with qualitative content analysis. The results are presented in two main categories; ?The information? and ?The procedure?.
Utvärdering av CTI på virkesfordon : ? CTI-projekt Holmen Skog/Örnfrakt 2005-2006
The low bearing capacity of roads during the spring thaw and periods in the autumn leads every year to increases costs for Holmen Skog. To reduce costs and increase accessibility
Holmen Skog decided to install and test a CTI-system. Central tire inflation (CTI) is a system that makes it possible to monitor and vary a vehicle?s tire inflation pressures from the cabin, while the vehicle is in motion. When tire pressures are reduced, the area of the contact surface between the tire and the road increases, thus reducing the ground pressure.
The purpose of this study was to evaluate the CTI-equipped vehicle and analyze if the CTI technology is economical defensible during the thaw 2005.
Kommunfullmäktigeledamöters sociala representation -en fallstudie i tre svenska kommuner av kön, ålder och etnicitet
The purpose of the thesis has been to explore the use of hedge fund styles when constructing portfolios of hedge funds (i.e. funds of hedge funds). The central question is if the use of hedge fund styles can significantly explain and improve risk adjusted returns (characterized by Sharpe ratios). The study has been done in collaboration with Optimized Portfolio Management AB who desire further knowledge and evaluation of hedge fund styles for their fund of hedge funds.To be able to create successful ex ante portfolios we have explored various prediction models for both risk and return. Our findings indicate that return prediction is problematic using simple models such as regression since the risk exposure of the indices appear to change significantly over time.
Kan en periodiseringsbaserad investeringsstrategi effektiviseras med hjälp av fundamental analys?
This paper investigates whether the traditional accrual based trading strategy first documented by Sloan (1996) can be refined using fundamental analysis. Specifically, this is done by implementing the composite signal F_SCORE introduced by Piotroski (2000) to identify financially strong or weak firms. We find that by applying both investment models simultaneously, in a model we call P_KOMB, the mean market-adjusted return earned by an investor exploiting the accrual anomaly can be increased by 14.8% annually. This is achieved by taking a long position in strong firms (as defined by the composite signal) in the lowest accrual portfolio, while an offsetting short position is taken in weak firms in the highest accrual portfolio, repeated annually between 1997 and 2007. Consistent with prior studies, positive market-adjusted returns can be attained through assessment of accruals as well as key value drivers found in historical financial data.
Globalisering : Att möta en ny marknad
Title: Globalization ? Meeting a new market Author: Anna Nubäck Supervisor: Anders Nilsson Institution: School of Management, Blekinge Tekniska Högskola Course: Master in business administration, 15 credits (FED006) Purpose: The purpose of this essay is partly to create an understanding of the decision to establish a branch in Japan and especially to look at if and how the Swedish company in this study has adjusted its corporate culture to suit the Japanese market. Method: Data is collected thru a number of semi constructed interviews. A first telephone interview was followed by an interview made face to face that was also followed up by interviews performed over telephone. E-mails have been used to clear and correct collected data.
Är etiska aktiefonder lika lönsamma som traditionella aktiefonder? : En studie som jämför riskjusterad avkastning mellan svenska etiska aktiefonder och traditionella aktiefonder
Background: There has been an increase in savings and investment in recent years along with an increased interest in responsible investments. Ethical mutual funds has developed and gained increasingly popularity.Aim: The aim of the study is to examine if ethical mutual funds are an equivalent alternative to traditional mutual funds in terms of return, risk and risk-adjusted return on the Swedish stock market.Theory: Beta, Jensen's Alpha, Sharpe ratio, Treynor ratio, and Modern Portfolio Theory.Method: Quantitative survey method, a statistical study.Conclusion:The study concludes that there is no significant difference between ethical and conventional mutual funds in terms of return, risk and risk-adjusted return. The small differences that exist between the two fund groups are in favor of the ethical fund group, indicating that funds is a comparable investment option compared to traditional mutual funds..
Marknadsrisken och Börsen ? En empirisk studie av Dow Jones Index
Syftet med denna D-uppsats i finansiering är att undersöka om det finns något signifikant samband mellan Dow Jones Index och de oberoende makrovariablerna: kortränta, långränta, penningmängd, inflation, inflationsförväntningar och inköpschefsindex. Om samband påvisas avser jag att undersöka vilken och hur stor påverkan de olika variablerna har på Dow Jones Index. Mina signifikanta makrovariabler kommer jag sedan att tillsätta i en multiindex modell, vars syfte är att vara en beräkning av avkastning utifrån markandsrisken av en investering på New York börsen. För att undersöka sambandet mellan Dow Jones Index och förklaringsvariablerna användes multipel regressionsanalys. Undersökningen baseras på månadsdata från januari 1989 till och med oktober 2005.
Globalisering - Att möta en ny marknad
Title: Globalization ? Meeting a new market
Author: Anna Nubäck
Supervisor: Anders Nilsson
Institution: School of Management, Blekinge Tekniska Högskola
Course: Master in business administration, 15 credits (FED006)
Purpose: The purpose of this essay is partly to create an understanding of the
decision to establish a branch in Japan and especially to look at if and how
the Swedish company in this study has adjusted its corporate culture to suit
the Japanese market.
Method: Data is collected thru a number of semi constructed interviews. A
first telephone interview was followed by an interview made face to face that
was also followed up by interviews performed over telephone. E-mails have been
used to clear and correct collected data.
I have also studied company reports, closely related literature, articles and
papers on the Internet.
Conclusion: My conclusion is that the company in this study based the decision
to open a branch in Japan on the demand from one big customer and the potential
to grow globally.
Värdeförändring på butiksfastigheter och makroekonomiska variabler - en ekonometrisk studie av samvariation
The purpose of this Bachelor thesis in Economics at Lund University is to try to establish the correlation between the value change of retail real estate buildings in Sweden and macro economic variables. The principal method is the multiple regression model and it is used to estimate the basic model. The basic model is enhanced by estimating some 30 models and the result is two good models. The difference between the basic model and the two better models are small but important. In the lagged basic model, the same variables are used as in the basic model but with different time lags.
IAS 19 "Aktuariella antaganden - ingen exakt vetenskap"
Problembakgrund: Förmånsbestämda pensionsplaner är kända för sin höga grad av osäkerhet, då ett antal svåra bedömningar tvingas göras. Dessa bedömningar kallas aktuariella antaganden. Redovisningsrådets rekommendation 29, som är en svensk motsvarighet till IAS 19: Ersättningar till anställda, började gälla den 1 januari 2004. Dock innebar övergången till IAS 19 en stor förändrig för de berörda bolagen då det tidigare redovisningssättet skiljde sig avsevärt från det nyinförda, främst vad det gäller ersättning efter avslutad anställning i form av pension. Fastställande av de aktuariella antagandena var en väsentlig skillnad för bolagen.
Aktiv- och Indexförvaltning : - Kan svenska investerare få högre riskjusterad avkastning genom aktiv förvaltning?
Nearly 74 percent of the Swedish population invests in funds and the options are therefore various. The Swedish private investors can choose between active and passively managed funds. Fund managers, who seek to generate higher returns than the market, manage active managed funds. Unlike the active managed funds, passively managed funds do not require any active investment decisions.Fama?s (1970) efficient market theory reflects all available information in the stock price, therefore it is not possible to predict how the stock price changes.
Från inspiration till konsert
Detta arbete har jämfört penningpolitiken som bedrevs i Japan under 90-talet och början av 00-talet med den situation som Sverige stod inför i början av 2015. Syftet var att klargöra i fall Sveriges riksbank hade något att lära från situationen i Japan och utreda om Sverige befann sig i en likviditetsfälla. Arbetet har haft en kvalitativ forskningsstrategi med makroekonomisk inriktning och använt sig av en komparativ forskningsdesign. Data samlades in genom en litteraturstudie. Avgränsningar till att endast behandla penningpolitiken irespektive land gjordes samt att fokusera på BNP, ränta och inflation.
Hantering av verksamhetskrav : Utredning av hur hantering av verksamhetskrav från kunder kan förbättras på Saab Aerosystems
Saab Aerosystems have had one dominating product, JAS 39 Gripen, and one dominating customer, FMV, for a long time. The operations management system at Aerosystems is adjusted for development of Gripen and as the business unit is trying to enter new markets with other products and customer the operations needs to be adjusted to fit the development and manufacturing of these products as well.The purpose of the master thesis has been to investigate how Aerosystems is managing requirements on operations from external customers and how to make improvements within this area. The aim has been to carry out a situation analysis to identify where improvements are possible and then produce proposals for improvements through studies of literature and other business units. The thesis also include a study of knowledge transfer within the business unit to investigate how this can be applied to improve the managing of requirement on the operations.An extensive interview study has been carried out in which interviews mainly have been conducted with employees at Aerosystems, but also at Saab Avitronics and Saab Aerostructures. The reason why these business units have been examined is because they have carried out a large number of successful businesses with external customers, which also are potential customers for Aerosystems in the future.The interviews have been analysed to identify strengths, weaknesses, opportunities and threats with the present way of working.
Penningpolitik vid likviditetsfällan och deflation: En penningpolitisk jämförelse mellan 90-talets Japan och dagens Sverige
Detta arbete har jämfört penningpolitiken som bedrevs i Japan under 90-talet och början av 00-talet med den situation som Sverige stod inför i början av 2015. Syftet var att klargöra i fall Sveriges riksbank hade något att lära från situationen i Japan och utreda om Sverige befann sig i en likviditetsfälla. Arbetet har haft en kvalitativ forskningsstrategi med makroekonomisk inriktning och använt sig av en komparativ forskningsdesign. Data samlades in genom en litteraturstudie. Avgränsningar till att endast behandla penningpolitiken irespektive land gjordes samt att fokusera på BNP, ränta och inflation.
Nyttjande av CTI inom skogsnäringen
Detta arbete handlar om Central Tire Inflation, vilket är ett system för att under färd variera däcktryck. Arbetet syftar till att se vilka erfarenheter skogsnäringen i Sverige har av tekniken. Intervjuer med representanter från skogsorganisationer har genomförts. Resultatet av dessa har jämförts med körningar i Roadex stress-test, vilket är en teoretisk modell för att få fram ett underlag om effekter samt erfarenheter av tekniken. Resultatet som framkommit visar på att skogsnäringen är väl medvetna och positivt inställda till tekniken samt att denna används för att öka tillgängligheten i skogen under förfallsperioder.