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1275 Uppsatser om Initial avkastning - Sida 47 av 85

Expression av PSI-N från Arabidopsis thaliana i E.coli

PSI-N is one of the subunits in eukaryotic Photosystem I (PSI) and is located on the lumenal side of the thylakoid membrane. It is known to interact in the electron transport chain between plastocyanin and PSI, but the mechanism behind the interaction is still unclear. To achieve a better understanding of PSI-N´s role in the photosynthesis it is necessary to develop a method for purification of PSI-N. The goal with this project was to design a plasmid that encodes a fusion protein containing PSI-N. With use of proteases the fusion protein can be cleaved into purified PSI-N.

Expression av PSI-N från Arabidopsis thaliana i E : coli

PSI-N is one of the subunits in eukaryotic Photosystem I (PSI) and is located on the lumenal side of the thylakoid membrane. It is known to interact in the electron transport chain between plastocyanin and PSI, but the mechanism behind the interaction is still unclear. To achieve a better understanding of PSI-N´s role in the photosynthesis it is necessary to develop a method for purification of PSI-N. The goal with this project was to design a plasmid that encodes a fusion protein containing PSI-N. With use of proteases the fusion protein can be cleaved into purified PSI-N.

Investmentbolag eller sverigefonder som Sparform? : En analys om vilken som är den bästa sparformen med avseende på risk och avkastning åren 2002-2010

There are various investments to suit different investors, what affects the investor is the risk he/she takes with the investment and also the awareness  the investor has. According to different theories a higher risk gives even a higher yield to compensate for the extra risk the investor takes.In this paper, we discuss and compare two different forms of savings, Swedish closed-end funds and Swedish mutual funds to examine what alternative that generates highest returns in relation to the risk.To help, we use different evaluation measures that adjusts the different investments risk so that you can compare how well the investments have performed regardless of the risk they have. This will give us an answer about what investment form that have performed the best between 2002.01.01-20010.12.31. Five Sweden mutual funds and five closed-end funds have been selected to participate in the survey.To evaluate this, it is primarily quantitative data, analyzed in the evaluation measures. The results obtained in the survey show that Swedish closed-end funds have performed far better during the selected time period.

Den orena revisionsberättelsens effekt på aktiekursen : En studie i svensk kontext

Revision används som ett medel för att utomstående intressenter, exempelvis aktieägare, ska få en kvalitetsstämpel på den information som förmedlas av ett företags ledning. Om revisorerna vill påpeka någonting angående företagets redovisning eller förvaltning utfärdar de en så kallad oren revisionsberättelse. I denna studie undersöker vi om denna orena revisionsberättelse får någon effekt på företagets aktiekurs. Den problemformulering som besvaras är:Har en oren revisionsberättelse någon effekt på svenska publika företags aktiekurser?Tidigare forskning på området har nästan enbart genomförts i utlandet.

Automatiskt kabelmärkningssystem

Risk management is a key competency that is constantly being researched how it can be improved within project management. The risk management process consists of four major steps: identify risks, assess the risks? significance on the project, evaluate and address the key risks and follow up.The majority of companies seem to neglect certain identified risks, and decide not to mitigate if the risk does not cause adverse effects to the business. To counteract undesirable consequences and help organisations to become more effective at managing risks an initial work has been conducted for a risk repository.The project develops a proposal on the design of a risk repository which aim to effectively support a database implementation. The study includes literature studies which resulted in a relational model for database implementation.

Test av svag marknadseffektivitet med hjälp av teknisk analys

Uppsatsen är en analys av två indikatorer som används inom teknisk analys för att avgöra om den svaga typen av marknadseffektivitet höll under den givna perioden. Den svaga typen av marknadseffektivitet säger att överavkastning inte kan genereras med hjälp av historisk kursinformation, vilket är vad teknisk analys gör. Vidare förs en diskussion om behavioral finance och huruvida det i behavioral finance finns stöd för de resonemang som teknisk analys bygger på. Resultaten visar att den svaga typen av marknadseffektivitet i stor utsträckning höll och att när avkastningen blev högre än en buy-and-hold strategi var detta kompensation för en högre risknivå. Vid en närmare granskning av resultaten framträdde en mycket hög avkastning vid ett visst variansintervall som inte är förenligt med den svaga typen av marknadseffektivitet.

Det växer så att det knakar - 150 år av ekonomisk och befolkningsmässig tillväxt i Sverige

Syftet med den här uppsatsen är att undersöka sambandet mellan befolkningsrelaterade variabler och ekonomins utveckling i Sverige mellan år 1850 och år 2000. Påverkas den ekonomiska tillväxten av en ändring i befolkningens storlek och har den aggregerade ekono-min i sin tur inverkan på nativiteten? Med bakgrund av tre väl accepterade ekonomiska teorier kommer fyra egna modeller att ställas upp och skattas för att ekonometriskt fastställa hur signifikanta de inkluderade variablerna är. De tre eko-nomiska teorierna har tillämpats på svensk data för att ge ytterligare bakgrund och tyngd åt de eget uppställda modellerna. Stor vikt har lagts vid att korrigera de tidsserier som används för autokorrelation och ickestationäritet.

Franchiseföretaget jobzone : En studie om utmaningar och problem kring överföring av affärskoncept och organisationskultur

ABSTRACTHelena Nowachek The purpose of the following study is to focus upon the possibilities and challenges associated with the transference of corporate culture from one organization to another. I have chosen to address this by looking at the franchise company Jobzone, which works specifically with recruitment and outsourcing. As a method I have interviewed three people in Jobzone: one person who is responsible for education, one franchising boss in Sweden and one franchisee. To delineate the concept of culture I apply both Schein?s model, in which he divides culture into the three levels of artifacts, values and basic assumptions, as well as a general theory of communication.

Hållbar avkastning : En studie av hur finansiella institutioner engagerar sig i företags arbete med CSR

Purpose: The purpose of this paper is to describe the perception of value and risk in CSR as well as analyzing how financial institutions influence responsible behavior in business in order to create sustainable economic growth.Methodology: The study has a qualitative research method used by an abductive process. Data has been collected through semi-structured interviews with respondents from three venture capital companies and three banks. The sample of respondents was done through a convenience sample with respect to access and expertise in the research area.Conclusion: The most important meanings of the research results have shown that CSR holds an intrinsic value concerning contributing value as its conceptual meaning in terms of sustainable development. CSR can also be regarded as a dimension of risk management to reduce the risk of negative externalities on corporate activities. Investors and financiers contribute to sustainable companies through active ownership and improvements in the CSR dimensions.

Evidensbaserad praktik i socialt arbete : En fallstudie av ett förbättringsarbete om hur ESL kan bidra till ökat brukarinflytande och delaktighet inom socialpsykiatri

Background: In today's Swedish health care, it is required that the various professionals must work together in teams to safer care. Several professionals with various skills expected working together in the traumateam at the care of the traumapatient. At the same time, research shows that substandard teamwork leads to avoidable errors in care. One way to improve teamwork is to practice. Purpose: The purpose of this study is to shed light on the experiences of the traumateam exercises that exercise participants feel has been favorable for the patient at the initial care of trauma patients.

Diversifieringsmöjligheter och deras effekt på avkastning : en jämförande studie av etiska och traditionella fonder

Aim: Based on portfolio theory, which highlights diversification, and CSR, which describes the value of social and ethical responsibility of corporations, this study examines whether there is a difference in risk-adjusted performance between ethical and traditional mutual funds. Ethical funds are limited in their opportunities of diversification and should therefore be limited in their potential perfomance. On the other hand, a focus on social and ethical responsibility can be profitable.Method: The study uses a quantitative approach where we used 25 mutual fund in each category, ethical and conventional mutual funds. The mutual funds and their data has been obtained from www.morningstar.se and www.pensionmyndigheten.se. Historical performance between 2009-2013 were processed to obtain the Sharpe ratio and M2.

Ger Hedgefonder högre riskjusterad avkastning än Traditionella fonder? : En jämförelsestudie mellan Hedgefonder och Traditionella fonder

Purpose: The purpose of this study is to examine whether hedge funds generate higher risk-adjusted returns than traditional managed funds in Sweden.Methodology: This study was based on quantitative data about the funds historical returns. The funds historical returns were taken from the database Morningstar and the risk-free rate from the Swedish central bank. Random samples of 36 funds have been divided into three portfolios in the form of a hedge fund portfolio, stock portfolio and mix fund portfolio.Result & Conclusion: The study concluded that the stock portfolio has shown the highest average yield for the study period where all portfolios below market index. Hedge fund portfolio has achieved the highest risk-adjusted return calculated by the portfolios Sharpe Ratio. Of all hedge strategies, arbitrage had the highest average return and risk-adjusted returns..

Generationsskifte i lantbruk : fallstudie på gård med maskinstationsverksamhet

I denna studie undersöktes frostkänsligheten hos matärt (Pisum sativum var. sativum), foderärt (Pisum sativum var. arvense) och sojaböna (Glycine max) vid tre olika stadier i plantans tidiga utveckling. Syftet med studien är att öka kunskapen kring hur kulturerna påverkas av låga temperaturer, och genom detta bidra till en ökad odlingssäkerhet, som i sin tur kan optimera avkastning och kvalitet i fält. Plantorna utsattes för en simulerad frost (-2 ?C, 10 h) i klimatkammare vid tre olika tidiga utvecklingsstadier.

"Om man inte gör det på Facebook" : Ungdomars uppfattning om sociala medier som demokratiagent

The purpose of this essay is to explore how social media affect the political orientation and commitment of youths. Three scientific questions highlight the purpose from different angles. The didactic perspective is discussed in the initial and closing discussion, and is analyzed in the corresponding chapter. Two methods are involved in the study; one survey and one interview with a focus group. The survey had a total of 98 respondents from four different classes, all in the first grade of upper secondary school.

Handel och ekonomisk tillväxt : En studie om hur afrikanska länders handelsöppenhet påverkar deras ekonomiska tillväxt

I denna uppsats studeras hur afrikanska länders ekonomiska tillväxt påverkas av deras handelsöppenhet. För att undersöka den valda problemställningen har en tvärsnittsstudie utförts med hjälp av en regressionsanalys. Datamaterialet som används är sekundärdata som inhämtats från Världsbanken. Den beroende variabeln som undersöks är genomsnittlig tillväxt i reell BNP per capita mellan år 2000 och 2010. I regressionsmodellen inkluderas ett antal oberoende variabler.

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