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8339 Uppsatser om Market risk premium - Sida 44 av 556

Prognostisering av aktieavkastningar med hjälp av makroekonomiska variabler - en svensk studie

Forecasting stock market returns is an interesting topic since more and more Swedes enter and invest in this market. Theory implies, however, that such exercises should be impossible. The aim of this thesis is to investigate the possibility to forecast future stock returns by looking at macroeconomic variables? history. The study is limited to the Swedish market as it is based on the OMXS30-index which represents the 30 most exchanged stocks on Stockholms¬börsen, the Swedish stock exchange.

Risk förknippad med outsourcing inom fastighetsförvaltning

This study?s purpose is to identify and analyse the risk associated with outsourcing of services within real estate management. Completing this study I have used the method induction with qualitative personal interviews. A number of risks are identified, however, the advantages of outsourcing generally dominate over disadvantages. The companies studied are generally able to handle the risks associated with outsourcing..

Finanskrisens inverkan på byggbranschen

Recently there have been a lot of talk a about the financial crisis and recession. This is understandable since the crisis, which initially was limited to the U.S. now has spread its concern globally in form of bankruptcies, less investment and lots of people have lost here jobs. The purpose of this thesis is to examine how the financial crisis have affected the construction industry relating to market and personnel, but also examine what measures the construction companies have taken. The examination was carried out by information received from the majority of construction-related websites which then was followed up with interviews in the various construction sectors.

Systematisk riskexponering i svenska hedgefonder: Svenska hedgefonders exponering mot riskfaktorerna i Fung & Hsieh (2004) under perioden 2006-2007

This paper aims to investigate the systematic risk exposure of Swedish hedge funds using a modified Fung & Hsieh (2004) asset-based style factor model. The results show that the average Swedish equity hedge fund and fund of funds had a significant positive exposure to the equity market portfolio and the spread between small cap and large cap stocks (SMB) during the sample period. This is consistent with our a priori expectations and previous international studies. We do not find the expected systematic fixed-income related risk exposure for the fixed-income hedge funds and fund of funds in the sample. The empirical material used in this study is taken from a publicly available fund database maintained by the Swedish Financial Supervisory Authority (Finansinspektionen).

Orsaker till kolik hos häst

The aim of this work was to investigate possible risk factors for colic in horses, and to describe what horse owners can do to prevent this condition. The gastrointestinal system of the horse is constructed for continuous high fibre consumption for a period up to eighteen hours a day. Under those conditions, the continuous flow of digesta stimulates gut motility so that the intestines move constantly. When the diet is changed rapidly and the horse is being fed high rations of concentrates each day, the risk of getting colic is higher compared to when consuming less concentrates and giving the horse a stable diet. Lack or absence of access to water and restricted allowance to move freely every day increases the risk of colic. Changed management practices and decreased activity contributes to increased risks, as well as other critical risk factors such as breed, season and age combined with rapidly changed management. More knowledge and education is required of the horse owners about feed requirements in the horse, management routines and rapidly changed activity..

Adderande tillverkning för metall

The Swedish automotive industry has since way back been struggling with bankruptcy, abroad buy outs and staff cuts. Competition and pressure on prices are two factors that affect the automotive industry. Because of this, the companies are pressured to continuously developing their work in addition to be able to compete on the market. The aircraft industry has successfully managed to implement additive manufacturing (AM) and for motorsport has several components manufactured with AM been used. When AM is used as a manufacturing method, there are a number of advantagesthat follows.

RISK FÖR UTSATTHET HOS BARN OCH UNGDOMARMED FUNKTIONSNEDSÄTTNING

Syftet med föreliggande litteraturstudie var att undersöka om det finns risk för utsatthet förbarn och ungdomar med olika typer av funktionsnedsättning och i vilka miljöer utsatthetenkan förekomma. Tre teman upptäcktes under uppsatsens gång och dessa var kroppsfunktion,aktivitet och delaktighet samt omgivningsfaktorer. Tidigare forskning visade på de olikariskerna som barn med funktionsnedsättning kunde utsättas för och i vilken utsträckning.Riskerna varierade från psykiska, fysiska och sexuella övergrepp till mobbning och mindredeltagande i olika fritids- och skolaktiviteter. Uppsatsen var en systematisk litteraturöversiktvilket innebar att inom det specifika ämnesområdet söka, granska och sammanställa befintliglitteratur. Resultatet av litteraturstudien visade att barn med funktionsnedsättning löper enhögre risk för olika typer av utsatthet i jämförelse till barn utan funktionsnedsättning.

Personalnedskärningar och aktiepriser : En eventstudie av sambandet mellan personalnedskärningar och aktiepriser under perioden 2008-2012

Purpose: The purpose of this thesis is to investigate whether abnormal stock returns could be identified as a result of a layoff announcement during weak economy.Method: An event study methodology.Theory: Efficient market hypothesis, signal theory.Empirical results: Quantitative data from observations of stock prices in thirty two companies listed on the Nasdaq OMX Stockholm, in the period 2008 -2012.Conclusion: The results indicate that the market reaction was negative because there were negative abnormal returns on the Stockholm Stock Exchange during the period 2008-2012 in connection with the layoff announcements. The market reaction was milder when staff reductions were carried out as a result of a restructuring and stronger when staff reductions were carried out as part of a cost reduction program.The layoff announcements elicited different market reactions depending on the company's industry affiliation. The most negative reaction was in the Healthcare industry. Negative abnormal returns were lower in industries Industrials, Consumer Services and Consumer Goods. There were no abnormal returns for shares of companies in the industry Financials.

Inventering av Maskinisten 6 och Valhall 2 på LEAX fastigheter i Köping enligt MIFO fas 1

This study is a degree project in environmental engineering at Mälardalens university. Its purpose has been to perform a risk assessment on whether or not any contaminations are present in the soil at two properties in Köping. The assessment was to be done accordingly to a method that has been set up by The Swedish Environmental Protection Agency (Naturvårdsverket). The method for investigation of contaminated sites is called MIFO. MIFO consists of two stages.

Marknadsundersökning -En undersökning om vad Raglady by Taras befintliga kunder tycker om en eventuell internetbutik

Marknadsundersökning -En undersökning om vad Raglady by Taras befintliga kunder tycker om en eventuell internetbutik. Market research-A study on what Raglady by Taras existing customers think of any internet store..

VD-karusellen : En eventstudie om en VD-avgångs påverkan på marknaden

The goal of this study is to examine how the market reacts when information about the exchange of a CEO becomes public. It also examines factors such as gender and whether the departure was voluntary or not, discerning if the market behaves differently concerning any of these aspects.To achieve this, the study was performed using an event study. The selection consisted of 48 companies on the Stockholm Stock Exchange, who had during the years 2005 to 2008 underwent a change in leading management. These units were submitted to hypothesis tests, to determine if an abnormal return was attained during the event window. The tests were performed on the units as a whole, and divided up after gender and whether the departure was voluntary or not.The results of the study show no statistically significant abnormal return caused by the announcement of a CEO exchange.

Försäljningsmetoder för spel på Android Market

Smartphones med Android som operativsystem har under de senaste åren blivit en allt större del av vår vardag. Kandidatarbetet undersöker vilken försäljningsmetod man som utvecklare ska använda sig av för att få största möjliga förtjänst, när man säljer ett spel på Androids marknad. De försäljningsmetoder, som studerats, är reklam, prissatt och in app billing. Från insamlad statistik av Google och enkäter har en förståelse kring vilken metod att föredra tagits fram. Resultaten visar att alla fungerar trots deras olikheter sinsemellan.

Kontrollera, minimera, spekulera : En studie om kontroll och styrning, riskhantering och value-at-risk på treasuryavdelningar

Aktiviteterna på en treasuryavdelning har under de senaste åren förändrats. Från att bara kontrollera de dagliga kassaflödena för ett företag, till idag då även handel med värdepapper, spekulation, har blivit en daglig aktivitet. Detta har lett till ett ökat behov av kontroll då spekulation leder till ett ökat risktagande. Denna uppsats studerar tre faktorer som är av betydelse för kontrollen på en treasuryavdelning. Dessa faktorer är; kontroll och styrning, riskhantering och det finansiella riskmåttet Value-at-Risk.

Swedish Meats : motiven bakom försäljningen av kooperationen

In 2007 Swedish Meats, the dominant Swedish meat-producers cooperative sold its slaughtering and processing industry. The goal of a producer cooperative structure is to create value for members through vertical integration, and to strengthen members? market position. When Swedish Meats sold the slaughtering and processing components, it ceased in some respects to serve the function of a cooperative. This is a lost opportunity for both members and non-members, because Swedish Meats as a functioning cooperative could have exploited its dominant market position to positively effect producer?s prices.

Vad driver svenska swapspreadar? En regressionsmodell med ECT

Uppsatsen är en kvantitativ studie som undersöker vilka faktorer som har kunnat förklara den svenska swapspreaden under tidsperioden 2001-12-31 till 2008-10-31. Resultatet är en linjär regressions modell som påvisar att swapspreaden är kointegrerad med svenska statens upplåningsbehov samt räntespreaden för europeiska kommersiella obligationer. På kort sikt förklaras swapspreaden av bland annat att den är mean reverting kring ett långsiktigt samband med tidigare nämnda variablerna, basis risken, den historiska volatiliteten på aktiemarknaden, bankaktiers utveckling i förhållande till övriga aktiemarknaden samt lutningen på Money Market kurvan..

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