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486 Uppsatser om Mean-variance portfolio optimization - Sida 11 av 33
En analys av innovationsprocessen På Mediaföretaget AB
Medieföretaget AB is a Swedish Media Company that covers several different business areas.The company daily produces one of the biggest newspapers in Sweden and publishes editorialnews on one of the country?s most visited news homepage. The company also has smallerfirms that produce new business models. Due to big changes in the media climate over theworld and a new company management team the company in November 2008 started adepartment for innovation. The main purpose of the department was to create a structuredway for managing ideas and to promote innovation.
Är etiska fondinvesteringar försvarbara : vad kostar etik?
Recently, the selections of ethical funds are increased; at the same time investors with social and moral preferences have increased in the capital market. There are currently debates on whether ethical funds perform better or worse than funds without ethical criteria. This also involves a vivid discussion on whether investors know about the consequences of investing in ethical funds. Therefore, this study involves theories about the rationality and decision theory, in addition to what mainly control the investment decisions. The study also discusses portfolio theory since this is one of the underlying theories behind fund management and its development.The purpose of this study is to explain if ethical limitations in the selection of securities affect risk and return in the fund portfolio.
Pedagogisk dokumentation : Vad, hur och varför?
Efter att den reviderade läroplanen för förskolan, Lpfö98/10, trätt i kraft har kravet på pedagogisk dokumentation i förskolan ökat. Denna studie undersöker förskollärares tankar om, och arbete med pedagogisk dokumentation i förskolan, med fokus på de didaktiska frågorna vad, hur och varför? Resultatet visar på en övervägande positiv syn hos förskollärare. Även negativa aspekter så som tidsbrist, kompetensbrist samt olika synsätt på vad den pedagogiska dokumentationen är har framkommit i undersökningen..
Jord i portföljen : jordbruksmark som en del av en investeringsportfölj
People who invest capital in promising projects as a profession are called venture capitalists. They are constantly looking for new investment opportunities. Recently, media have observed a growing interest in forest land as capital investment. This is because several fund and investment company market the possibility of safe return through investment in woodland, both in Sweden and abroad. When an investment in forests is seen as an acceptable investment option, focus turns to nearby areas, namely agricultural land.
Identifiering av merva?rden i EPC-projekt
In this report a study is carried out with the aim to identify added values of EPC projects implemented in schools in order to increase the interest of EPC projects on the market. The report examines how the planned maintenance, supervision, maintenance and corrective maintenance is affected, how insurance premiums and terms are affected, the indoor environment and how the tasks of the operating staff is changing. A literature study of energy savings, energy use in schools, maintenance and insurance as well as how energy efficiency improvements are related to the Swedish environmental objectives has been made. Visits were carried out in Ludvika, interviews were also carried out with operation technicians and local strategists in Ludvika as well as employees of insurance companies.Schools often have neglected maintenance and problems with ventilation and indoor environment. Schools also have a large energy saving potential due to their low utilization, mainly because they are empty parts of the year.
Introduktion av Open Source som arbetssätt
In early January 2010 the authors participated in a meeting with the chief engineer for a company in which a central part is manufacturing of printed circuit boards (PCB). At this meeting it emerged that the machinery and production methods have changed substantially since the early 1990's. The spreadsheet for preliminary production time calculations by the company is today based on conditions from almost 20 years ago. The company has over the years been trying to adjust the spreadsheet template. The result of these adjustments has filled it with historical residue, something which makes the template difficult and time consuming when the primary user tries to handle it.The purpose of this study was to help the company increase its accuracy in the representation of the production times for the different PCB-based products by developing a new costing model based on an already existing but inadequate spreadsheet template. The company also expressed the wish that the new costing model would be less time consuming to work with.The methods used to achieve the goal are interviewing, participatory observations and meetings with relevant persons. The data obtained were analyzed using the theory on PCB production and visualization of data.
Implementation of a Simulated Annealing algorithm for Matlab
In this report we describe an adaptive simulated annealing method for sizing the devices in analog circuits. The motivation for use an adaptive simulated annealing method for analog circuit design are to increase the efficiency of the design circuit. To demonstrate the functionality and the performance of the approach, an operational transconductance amplifier is simulated. The circuit is modeled with symbolic equations that are derived automatically by a simulator..
Populationsstruktur och genetisk analys av exteriöra egenskaper hos svensk ardenner :
The purposes of this study were to estimate genetic and phenotypic parameters for conformation traits in Swedish Ardenner, a heavy draught horse, and to investigate the inbreeding status of the population. Additionally, a breeding scheme proposal was created, based on the results achieved in the study.
The data studied were obtained from the Swedish Horse Board and from the Swedish Ardenner Association. The data included 1632 three-year-old horses, mainly mares, and 356 stallions, judged between 1986 and 2005 at conformation shows. The traits studied were type, head-neck-body, legs, walk and trot at hand, total score and height at withers.
Digital portfolioteknik : ett redskap till egen utveckling och lust till att lära
Arbetet grundar sig både i en empirisk och teoretisk studie. Jag har gjort en kvalitativ undersökning, där en observation på tre olika skolor i Västerbotten har lagt en grund för arbetet. Fokus har legat på att studera hur lärare tar tillvara och kopplar undervisningen till elevens tidigare kunskaper, för att få en helhet och förståelse i skolan samt hur moment börjar och avslutar och om det sker någon uppföljning kring momenten. I observationen låg även fokus på hur elevernas färdiga material hanteras och samlas.Syftet är att försöka komma på ett sätt att kunna dra nytta av tidigare kunskaper eleven fått, för att skapa förståelse och ett helhetsperspektiv i skolan. Jag har gjort litteraturstudier hur portfolioteknik fungerar och hur man kan koppla till tidigare kunskaper.
Frosttolerans hos douglasgran av olika ursprung och tillväxttyp
This report evaluates whether normal approximation or resampling is to prefer for estimating the distribution of the sample mean and functions of the sample mean. The evaluation relies on simulation studies. The observations of the sample are allowed to be differently distributed. In the case of sample means they are also allowed to be dependent.For sample means the two approximations behaves very similar. The most important component whether we have a good or a bad approximation is how good the approximations catch the variance of the true distribution.
Statistisk analys av barnpsykiatrisk symptomatologi som ökar risken för senare personlighetsstörning
This report evaluates whether normal approximation or resampling is to prefer for estimating the distribution of the sample mean and functions of the sample mean. The evaluation relies on simulation studies. The observations of the sample are allowed to be differently distributed. In the case of sample means they are also allowed to be dependent.For sample means the two approximations behaves very similar. The most important component whether we have a good or a bad approximation is how good the approximations catch the variance of the true distribution.
Makroekonomiska variablers påverkan på Dow Jones och OMXS30
Syftet med studien är att undersöka makroekonomiska variablers effekt på Dow Jones och OMXS30, med hjälp av en lämplig ekonometrisk modell. Vidare är syftet att analysera möjligheten för börsprognostisering och analysera om denna möjlighet är lika stor för Dow Jones som för OMXS30. Detta kommer att ske genom att undersöka motsvarande variabler för respektive lands aktieindex. Variablerna arbetslöshet, ränta och oljepris visade sig inte ha någon signifikant påverkan på varken Dow Jones eller OMXS30. Det visade sig dock att aktieindexen reagerade på samma sätt, för respektive lands variabler..
Konsonant- och vokalduration i enaresamiska
SEB Merchant Banking provides to its institutional customers a true market neutral product called Dynamic Manager Alpha (DMA). The DMA is constructed by a long position in an exceptionally well performing mutual fund and a beta adjusted short position in an appropriate index. The key to making the product market neutral is adjusting with the correct beta, since the beta changes, it is very important to have a good model for predicting beta in the future.This master thesis begins with describing what beta is in a CAPM sense. It then continues with recognizing the so called ?Two Beta Trap?, which separates two kinds of beta.
Isometrier i Poincarés halvplansmodell
SEB Merchant Banking provides to its institutional customers a true market neutral product called Dynamic Manager Alpha (DMA). The DMA is constructed by a long position in an exceptionally well performing mutual fund and a beta adjusted short position in an appropriate index. The key to making the product market neutral is adjusting with the correct beta, since the beta changes, it is very important to have a good model for predicting beta in the future.This master thesis begins with describing what beta is in a CAPM sense. It then continues with recognizing the so called ?Two Beta Trap?, which separates two kinds of beta.
Beräkningsmodul för ett förbättrat offertförfarande och minskad icke-värdeskapande tid
In early January 2010 the authors participated in a meeting with the chief engineer for a company in which a central part is manufacturing of printed circuit boards (PCB). At this meeting it emerged that the machinery and production methods have changed substantially since the early 1990's. The spreadsheet for preliminary production time calculations by the company is today based on conditions from almost 20 years ago. The company has over the years been trying to adjust the spreadsheet template. The result of these adjustments has filled it with historical residue, something which makes the template difficult and time consuming when the primary user tries to handle it.The purpose of this study was to help the company increase its accuracy in the representation of the production times for the different PCB-based products by developing a new costing model based on an already existing but inadequate spreadsheet template. The company also expressed the wish that the new costing model would be less time consuming to work with.The methods used to achieve the goal are interviewing, participatory observations and meetings with relevant persons. The data obtained were analyzed using the theory on PCB production and visualization of data.