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9574 Uppsatser om Multiple regression analysis - Sida 10 av 639

Bolåneräntor i Sverige : Enanalys av individuella räntor med multipel linjär regression

 I denna rapport undersöks hur ett antal kundspecifika faktorer som belåningrad, bank och inkomst påverkar svenska hushålls individuella bolåneräntor. Metoden som används är multipel linjär regression med transformeringar av förklarande variabler. Transformer som används är log-linjär, linjär-log, log-log samt styckvis linjär. Datan innehåller ett stickprov om ca. 7000 rörliga bolån från juli 2013 insamlade av organisationen Villaägarna på frivillig basis.

Prestationspåverkan av flerträdshantering i klena gallringar

The aim of this study is to investigate how multiple tree handling harvesters perform compared to earlier developed standards. The study shows that multiple tree handling harvesters are more efficient in thinnings stands with mean stock volumes less than 0,12 m3fub per stock. The increased efficiency is different for different mean stem classes. In stands with a mean stem volume of 0,04 m3fub per stock, the increase can be as high as 40 percent while it is about 10 percent in stands with a mean stem volume of 0,12 m3fub. Comparisons have been done between stands that are felled with partly limbed stands and stands without partly limbed assortments. The difference in performance is clear and shows that the partly limbed assortments strengthen the multiple tree handling harvesters positive effects in low dimension thinnings.

Mångbruksplan Äspinge 2:2

This plan of multiple-use is made on the private owned forestproperty Äspinge 2:2 in the middle of Skåne. The term ?multiple-use? came to Sweden in the beginning of the twentieth century and has slowly grown until about 30 years ago when the laws of nature conservation and sustainability was written into the forest law. The so called ecoturism got more and more popular and people began to seek space and silence in difference to the life in the highly populated areas. This also encouraged foreign tourists to come to Sweden. Mostly danish, german, and dutch people.

Strategic forest planning using AHP and TOPSIS in participatory environments : a case study conducted in Vilhelmina, Sweden

When a decision is to be made on what long term strategic forest management plan to use, consideration must often be taken to multiple objectives. Such decisions are very complex and a promising approach to handle them is by Multiple Criteria Decision Analyses (MCDA). The study is based on the problem that the MCDA that have been implemented into forest management planning have only had capacity to compare and evaluate a limited number of management plans; which means that there is a risk the most suitable plan is missed. The aim with this study was to test the applicability of combining the MCDA tools: the Technique for Order Preference by Similarity to Ideal Solution (TOPSIS) and the Analytic Hierarchy Process (AHP) for including consideration to multi-objectives into strategic forest management planning. The study was based on the process of creating and selecting a management plan, using Heureka PlanWise, suitable for all the major objectives found in the forest holdings of a municipality in northern Sweden.

Relationen mellan prestationer och ersättning

The thesis handles the principal-agency problem between shareholders and the Chief Executive Officer. The purpose of the thesis was to examine the link between CEO compensation and corporate performance measured as a change in Market to Book ratio. Data was collected from corporate annual reports between the years 2000 ? 2008 and the study covers 39 Swedish companies from the Stockholm Stock Exchange Large Cap list. To examine whether there is a link between the CEO´s compensation and firm performance, we performed a regression analysis, and no significant relation is found.

Den livsmedelshygieniska kvaliteten hos franska opastöriserade dessertostar :

This study was performed to investigate the bacteriological quality of French cheeses made from raw milk. Fifty cheeses of this type were purchased from Swedish retail premises. The methods described by the Nordic Committee on Food Analysis (NMKL) were used to determine the number of Enterobacteriaceae, presumptive Escherichia coli, coagulase positive staphylococci and Listeria monocytogenes. In 32 cheeses (64%) the number of bacteria mentioned above exceeded the determined maximum value. Thirty samples (60%) showed high counts of Enterobacteriaceae.

Riskaversion - En studie av den svenska aktiemarknaden

Syftet med uppsatsen är att undersöka huruvida det har skett en förändring i riskaversionen mellan perioden 1980-1995 och 1996-2000. Sambandet mellan risk och värdering undersöks för att ta reda på detta. En kvantitativ metod har använts för att genomföra undersökningen. Statistiska modeller som enkel och multipel regression har använts för att söka samband mellan värdering och risk. Rådata har hämtats ur ?SIX Trust?-databasen och vi har därefter behandlat datan i Excel och SPSS.

PIOTROSKIS FUNDAMENTALA SIGNALER;ÄR DE VÄRDERELEVANTA? : EN NUTIDA STUDIE PÅ STOCKHOLMSBÖRSEN

This study aims to evaluate the value relevance of Piotroski?s (2000) nine fundamental signals. In order to do this, the signals are tested on the OMX Nordic Exchange Stockholm between the years 2003 and 2009. The hypotheses of the study are whether the signals are value relevant and if the value relevance has changed. To test this, a Chi-square test and a regression are used.

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.

The experience of MS-related fatigue

Background: Multiple Sclerosis (MS) is a chronic disease that mainly strikes young people in working age, twice as many women than men falls ill. Approximately 85 % suffers from MS-related fatigue that divides itself from common fatigue in that way that it is persistent and does not disappear in spite of sleep. This fatigue is experienced of many as one of the most difficult symptoms, which has considerable impact on the everyday life. Aim: The aim with the study was to elucidate how MS-related fatigue was experienced by persons with MS. Method: The study has been implemented as a literature study through systematic review of scientific articles.

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.

Kvantitativ studie om knappsatsdesign och knappstorlekars påverkan på träffsäkerhet

A mobile testing application using Unity was developed to analyse what impact button sizes and button layouts has on the accuracy of touch as well as the time to finish a labyrinth. This was tested on a Nexus 4 phone. 28 users navigated a small object through a labyrinth in which they collect keys to open the door to the exit. Each participant did the test 6 times with different combinations of button size and button layout each time, done in a random order. Hits, misses, completion time, order of button size and order of button layout was collected and then visualized using R.

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.

Personer med Multipel Skleros upplevelser av att leva med sjukdomen, samt deras upplevelser av stöd och bemötande från vårdgivare : En intervjustudie

The aim of the study was to describe what it's like to live with Multiple Sclerosis (MS) and experiences of social support and being received and met by health personnel. The method was a qualitative interview study of descriptive design and was analyzed using qualitative content analysis. Three women and two men (26-75 years) with MS from two municipalitiesin central Sweden participated in the study. The main results showed that the participants felt the disease limited everyday life. The majority described feelings of injustice being affectedby the illness, but they now have a new perspective on life.

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..

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