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1129 Uppsatser om Multiple Logistic Regression - Sida 10 av 76

Personlighets och självkänslas samband med psykisk ohälsa hos studenter vid Lunds universitet

The purpose of this study is to examine whether personality traits, self-esteem, performance-based self-esteem and demographic data relate to, and can explain the variation in psychological ill-health among students at Lund University. A questionnaire was distributed to students attending the Psychology program, Bio-technology program, Theologian program and Law program. There were 247 respondents to the questionnaire, mainly attending their second or third semester. General Health Questionnaire (GHQ-12), Rosenberg's Self- Esteem scale, Hallstens scale measuring performance-based self-esteem, questions relating to demographic data and a short version of the personality inventory scale Big Five were included in the questionnaire. Positive correlations were found between psychological ill-health and the variables neuroticism and performance-based self-esteem.

Är goodwillnedskrivningar värderelevanta - En studie av den svenska aktiemarknaden

This study investigates the value relevance of goodwill impairments for equity investors in Swedish listed companies. We provide insight on whether goodwill impairments are value relevant before as well as after the implementation of IFRS 3 and IAS 36. We express market value of equity as a function of book value of equity; net income excluding goodwill impairments and goodwill impairments, using the Ohlson valuation model and Hellström's price regression. Our findings suggest that goodwill impairments are statistically value relevant for equity investors. Prior to the implementation of IFRS 3 and IAS 36, our findings imply that equity investors respond negatively to goodwill impairments.

Tidsperspektiv som prediktor för individuella skillnader i upplevd stress : En tvärsnittsstudie av äldre vuxna

Time Perspective is related to mental and physical health. This study examines the relationship between Time Perspective and perceived stress where Time Perspective was expected to predict the level of perceived stress. Past-negative, Future-negative, Future-positive and present-fatalistic were expected to be positively associated with perceived stress while Past-positive and present-hedonistic were expected to be negatively associated. Measures from the self-assessment forms S-ZTPI, PSQ-recent and CES-D from 445 participants (242 women, 203 men) between 60-90 years were used to examine the hypothesis of the study. Two hierarchical multiple regression analysis confirmed that Time Perspective is associated with perceived stress and in part 2 explains it's variance, one when adjusting for demographic data (.R = .37) and the 2 other when adjusting for demographic data and depressive symptoms (.R = .13).

Upplevd livskvalitet hos personer med MS

Many persons with long-term illness experience a decline in their quality of life. Perceived Quality of Life is a subjective term based on prior personal experiences and is highly individual. The aim of this qualitative study was to investigate perceived Quality of Life in persons with Multiple Sclerosis and to get knowledge if physical therapy changes a person?s quality of life. Three women and three men with a range of disability were interviewed in depth.

Lyckans land? : En ekonometrisk studie över nationshemvistens påverkan på upplevd lycka.

Does the country people live in affect the probability of them experiencing happiness? Can a country variable in an ordinal regression model be affected when microeconomic and macroeconomic factors are added to the model? The possible outcomes are either that the country variable affects less when the additional predictors are added to the model, or that they stay the same. The micro data is collected from the European Social Survey database, the macro data is collected from the World Bank. The country variable becomes less substantial when additional variables are added to the model. The variable with the most influence over expected happiness apart from the country variable is whether the individual often socializes with friends or not.

RFID:s effekter inom logistik

Modeprodukter har en mycket kort livslängd och modebranschen förändras snabbt. Tiden är därför essentiell och utgör en betydelsefull konkurrensfaktor. Genom att reducera tid i försörjningskedjan kan ett företag vinna marknadsandelar samt höja sin lönsamhet. RFID är en teknik som kan användas för att reducera tid samt förbättra logistiska processer i försörjningskedjor. Trots att denna teknik har börjat spridas, används den generellt inte hos svenska modeföretag.

Tredjepartslogistik ur ett sakrättsligt perspektiv

It has become fairly common for a company to outsource one or several of its logistic activities to a party separate from the business of the company itself. Since the original agreement usually involves two parties, the seller and the buyer, the logistics company is called the third party. The relationship between the outsourcing company and the third party varies in form and in depth but can sometimes be very close, almost to be considered a joint venture. When the co-operation between the two parties includes more than just one separate logistic service and the third party adapts its business to a certain extent to his principals needs, it constitutes third party logistics. If the logistics company, or a party employed by it, becomes insolvent when having the entrusted goods in his possession questions may arise concerning the right to the property.

Logistikcentra

International Marine Group, IMG AB, was established in year 2000, and became the parent company of the three sister companies, Momec AB, Isolamin AB and Premec AB. The IMG ? group supplies complete marine/offshore interior accommodation and tailor-made system supplies to the Building/Industrial sector. With a starting point to develop IMG AB?s logistic and distribution the company has decided to survey the present logistic at their subsidiaries, mainly concentrated on the goods for delivery.

Skapar DRM mervärde? En Studie i Market Timing

Denna studie undersöker huruvida aktiv strategi villkorlig en diskret regression modell (DRM) skapar mervärde relativt en passiv buy-and-hold strategi i form av avkastning, risk samt variationskoefficient. Modellens metod, en binär logistisk regression, estimerar den förväntade relativa avkastningen mellan en indexfond (AFGX) samt den korta riskfria räntan (SSVX). För estimera den relativa avkastningen mellan tillgångarna använder DRM data från aktiemarknaden, räntemarknaden, obligationsmarknaden, inflationsindex samt industriproduktionsindex. Timingbeslutet görs vid varje månadsskifte och kapitalet placeras i den tillgången med högst förväntad avkastning under kommande månad med start den 1:e januari 2002 och slut den 31:e december 2005.Den empiriska diskussionen visar att mervärdet av DRM´s avkastning, risk och variationskoefficient kontra de fast viktade portföljerna uteblir. Således blir slutsatsen att DRM inte klarar av att mäta den förväntade relativa avkastningen mellan tillgångarna och den passiva strategin i denna kontext förblir ett bättre alternativ..

Optimering av multiprocessorsystem med hjälp av schemaläggning

A well known optimization-problem of multiprocessor system is scheduling of tasks. In this paper I use a variant of previous known algoritm, (Fast Critical Path) for scheduling real-time tasks on a multiprocessor system. This is made in a simulation study in MATLAB. The system architecture is assumed to be a MIMD- machine, (Multiple Instruction stream Multiple Data stream) with bus-typologi and message-architecture. Scheduling was made on this system where the number of processors varying from five to ten.

Valuta för pengarna : En kvantitativ studie av svenska aktivt förvaltade aktiefonders bakomliggande variabler och kostnadsmått

Aktiv fondförvaltning har den senaste tiden fått utstå mycket kritik, en av de senaste stora skandalerna var då Swedbanks Roburs VD gick ut med ett uttalande om att deras kunder inte fått vad de betalat för vid aktivt förvaltade fonder, samt att det är en mycket liten chans för dem att lyckas prestera över index. Dessa uttalanden ledde till att organisationen Aktiespararna valde att stämma Swedbank Robur, samt var en intresseväckare för denna uppsats. Syftet med denna studie var att undersöka huruvida det föreligger något samband mellan en fonds riskjusterade avkastning och variablerna: Morningstar rating, Normanbelopp, förvaltningsavgift, omsättningshastighet och fondförmögenhet. I samband med detta undersöktes huruvida dessa variabler hade en positiv påverkan på fondernas utveckling, för att fastslå orsak/verkan-samband. Vidare undersöktes känsligheten hos det nya nyckeltalet Normanbelopp, genom att förändra dess grundläggande antaganden.Studien baseras på 50 stycken svenska aktivt förvaltade aktiefonder med legalt säte i Sverige där tidsintervallet sträcker sig mellan åren 2004-2014, datamaterialet har sedan bearbetats i SPSS i både multipla- samt enkla regressioner.Resultatet av studien påvisade att enbart Morningstar rating hade en stark positiv korrelation i samband med en positiv påverkan i form av förklaringsvärde, på den riskjusterade avkastningen.

Downside Risk - En studie av riskkompensation på den svenska aktiemarknaden

This paper investigates the compensation for risk in the context of the Swedish stock market with a special focus on downside risk. Using daily market data collected from the A-list of the Stockholm Stock Exchange between the years 1983 and 2005 the purpose is to answer the question whether Swedish investors are compensated for holding stocks with high downside risk, measured as downside beta. Using panel data analysis it is shown, in accordance with most previous evidence in international research, firstly that stocks with high beta values on average experience higher returns than stocks with low beta values, and secondly that stocks with high downside beta values experience higher returns than stocks with high beta values in general. On the other hand, cross-sectional regression methodology using a bivariate regression approach shows that downside beta does not explain excess returns very well. Instead, regression analysis suggest that high upside beta does a much better job in explaining excess return over this time period compared to downside beta.

Biljardproblem

Objective: In recent years there has been an increasing interest within the clinical (medical) science in measuring people?s health. When estimating quality of life, present practise is to use the EQ-5D questionnaire and an index which weighs the different questions. The question is what happens if the individuals estimate there own health, would it differ from the public preferences? The aim is to make a new prediction model based on the opinion of patients and compare it to the present model based on public preferences.Method: A sample of 362 patients with unstable coronary artery disease from the Frisc II trial, valued their quality of life in the acute phase and after 3, 6 and 12 months.

Att prognostisera företagsförvärv - en utopi?

Syftet med uppsatsen är att undersöka om det går att förutse vilka företag som kommer att bli uppköpta. Anledningen till detta är att investerare då kan använda denna vetskap och investera i de företagen och därigenom maximera sin vinst. Vi har med hjälp av Datastream samlat finansiell data om 132 bolag på Stockholmsbörsen. Därefter har en multipel logistisk regression gjorts, som underlag för att bedöma prognostiserbarheten för uppköp. Utgångspunkt har främst tagits i liknande studier genomförda utomlands.

Uppbyggnaden av ett foderstatsprogram för dikor :

The object with this work was to create a simple feeding program for beef cows. Another object was that I could learn more about the properties and functions of Excel and Visual Basic. I used parts of a program I designed a few years ago. This old program was neither user friendly nor had it an appealing layout. Initially I decided how I wanted the new program to appear and on which foundation it should be built. I designed various forms into a spread sheet, such as lists and multiple choice buttons. Using VBA (Visual Basic for Application) I could create macros, which used the information chosen in the lists and with the multiple choices to calculate the feeding requirement or the feeding plan.

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