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12532 Uppsatser om Price risk management - Sida 56 av 836
Alternativt viktade aktieportföljer
Uppsatsen grundas kring teorier om att aktiemarknadens aktörer är relativt dåliga på att förutspå aktiers utveckling. Den helt rationelle investeraren som är en av grundstenarna för teorin om den effektiva marknadsportföljen verkar ej existera. Den effektiva marknadsportföljen, praktiskt uttryckt som ett marknadsvärdeviktat index, blir då en olämplig förebild att följa vid investeringsförfarande. Vidare grundas undersökningen på teori vilken antyder att historiska resultat ger en god indikation om företags framtida utveckling. Vi har studerat en stor mängd företag noterade på den svenska börsen under perioden 1992-2003.
Ekonomistyrningens påverkan på MRP-implementering: en fallstudie av ASSA AB
The implementation of a material requirements planning system is a complex and demanding task. There has been much research into what factors are important in such implementations, but seemingly very little about the links between critical success factors and management control systems. This thesis attempts, through a case study, to answer the question of how management control systems affect the implementation of an MRP system in ASSA AB, a Swedish manufacturing firm. Data is primarily collected through interviews. Theory regarding implementation success definitions, critical success factors as well as management control systems is presented.
Working Capital Management i svenska tillverkande företag : Hur effekter av WCM påverkas av beslut och samverkan
Sammanfattning Inom de flesta företag finns möjligheter att påverka rörelsekapitalet genom Working Capital Management. Detta kan även förkortas WCM, vilket enligt Deloof (2003) kan definieras som arbetet med att styra företagets rörelsekapital. De flesta företag har dessutom avsevärda summor uppbundna i rörelsekapitalet, vilket medför att WCM har en betydande roll på företagets lönsamhet. I strävan efter att nå ett optimalt rörelsekapital finns det dock risk att företagen drabbas av negativa effekter.Syfte: Denna studie syftar till att undersöka effekterna av WCM och hur dessa effekter påverkas utifrån hanteringen av WCM.Metod: Studien består av en kvantitativ enkätundersökning riktad till svenska tillverkande företag.Analys: Att frigöra kapital beskrivs som det främsta motivet för att genomföra WCM. Det framgår också att initiativ till beslut om en minskning av rörelsekapitalet är centraliserade och det är sällsynt att initiativ startar i den operativa verksamheten.
Managementkonsultens roll i projekt : En studie av utvärderingsprocessen
A consultant is an external expert that exists within all types of organizations. The consulting service can be divided into individual practitioners and large companies whose sole task is to hire out consultants to clients. The need for consultants has grown due to the restructuring of Swedish businesses during the past decades. They have put parts of their business on contract. This has led to a market with other player that have been able to focus on these parts.
CAN-understödda FMS-tjänster för entreprenadbranschen
The comprehensive purpose of this Master of Science thesis is to examine which fleetmanagement services for engineering vehicles, ?Fleetech? preferablyought to develop inorder to reach a broad market and meet the demands of contractors.Scanty explained, fleet management is the management of a company's vehicle fleet and theservices can include a range of functions such as driver management and fuel management. Inshort the thesis encompasses four sections:1.Survey of the general contractor industry: The survey has been preformed toevaluate the potential size of the market for fleet management services in the generalcontractor industry.2.Needs analysis: The needs analysis aim was to define what contractors tasks andgoals are, and to determine what functions they want and need from a system.3.The use of CAN and the technical premises: The prerequisite for developing asophisticated and generic system is that vehicle data can be accessed from the CANbuss.The use of CAN standards in construction equipment has therefore beenexamined.4.Specification: An explicit set of requirements have been set to be satisfied by a fuelmanagement service, based on CAN standard protocol J1939.Important conclusions: The use of CAN protocol standards are extensive and the prerequisitesfor developing elementary and CAN based services good. The services should be compatiblewith different manufacture?smachines.
Big bath accounting i samband med goodwillnedskrivningar
AimThe aim of this study is to through managers in eldercares deskriptions of the systematic qualityleadingsystem examine the implementation process of this system in the eldercare in the municipality of Halmstad. BackgroundIn this paper the background explains elderly care and social work context, leadership in change and implementation processes. The theoretical frame illustrates Vedungs implementation theory and Webers model of bureaucracy MethodTo collect empirical data for this study, a qualitative research design was used in which eleven managers within Halmstads municipality home care management stood as respondents. ResultThe respondents highlighted a variety in the use of the systematic quality management system tool. The result describes that several obstacles were experienced in the use of the systematic quality system. ConclusionBased on the descriptions the respondents gives of the implementation process of the systematic quality management of Halmstad municipality home care management, the conclusion can be drawn that the implementation process has not resulted in the employees making use of systematic quality management in practice. The systematic quality management system that will ensure the quality of the care work is thus used to a limited extent..
Basel II och fastighetsbranschen - en scenariostudie av de nya kapitaltäckningsreglernas konsekvenser för fastighetsbranschen
Bankerna har ett stort ansvar i samhällets finansiella system. En eventuell rubbning i kredit-systemet drabbar både låntagare och långivare. Banker såväl som värdepappersinstitut måste noggrant kunna beräkna och bedöma sin riskexponering för att på så sätt kunna gardera sig mot riskerna genom att hålla en kapitalbuffert. För att förhindra uppkomsten av bankkriser samt få en finansiell stabilitet i samhället infördes den 1 februari 2007 ett nytt regelverk, Basel II, gällande analysering och hantering av kreditinstitutens risk. Regelverket är en förfinad, mer individanpassad version av föregångaren Basel I.
Arbetsmiljö för djursjukskötare på ett smådjurssjukhus : inriktat på belastningsergonomi
Purpose: The aim of this study was to observe and describe the work environment of veterinary nurses, focused on fysical ergonomics, in a Small Animal hospital.
Method: An observational study was made in the stationary ward in an animal hospital. The observation was based on a checklist from the Swedish Work Environment Authority. Six veterinary nurses was observed over three hours when they nursed the patients. The checklist contained paragraphs concerning work postures, manuell work, knowledge, competence and the design of the workplace.
Result: The results was divided into three categories; red, yellow and green.
Emotionsreglering och stämningsläge som faktorer för högt och lågt risktagande i beslutsprocessen
The purpose of this thesis is to investigate the ways in which emotion
regulation and mood affects risk taking when it comes to decision making
competence. Emotion regulation is an essential part of the attachment process,
the development of an autonomous self and functional stress coping systems.
Research indicates that there is a relation between a distorted emotion
regulation and some psychological disorders like depression, PTSD, anxiety
disorders and borderline (or instable emotional personality disorder). There is
a definite need to analyze the relation between emotion regulation and decision
making competence since it is relatively unexplored. A digital questionnaire
was distributed amongst the participants.
Dancing with Cops - lärdomar från ett Managementprojekt på NÄPO Lund
En sammanfattande rapport över de lärdomar vi gjort under bl.a. ett projekt vid Närpolisen i Lund (NÄPO Lund). Rapporten behandlar bl.a. områden som konsult-klient förhållandet, ledarskap, individuell utveckling, grupputveckling och feedback..
Strategiimplementering vid direktinvestering i Baltikum
En kvalitativ undersökning av SEB och Föreningssparbankens strategiimplementering vid deras direktinvestering i Baltikum..
Egna varumärken inom kött- och charkuteribranschen :
Many grocery stores have products marked whit there private brands. The information
about these brands is poor. We wanted to find out what the stores own brands stand for
and what the manager of purchase thinks it stands for. We choose to concentrate on meat
and cured meat and limit our study to ICA, Axfood and Coop because they are the three
main actors in the Swedish branch of grocery.
The supplier has traditionally manufactured products and made there own brands. These
products have been distributed and sold to the consumer thru stores.
Internprissättning på lån inom multinationella koncerner - En kvalitativ studie av det svenska rättsläget
Due to the growth of multinational concerns during the last decades, with large parts of international trade involving such corporations, the field of transfer pricing, including financial transactions such as internal loans, have received a great deal of attention in tax legislation. The internationally accepted foundation for transfer pricing is the so called Arm's length principle, expressed in Swedish law through the "Korrigeringsregeln". In the Diligentia court case, the concepts of transparency and control were given a crucial role in the calculation of an Arm's length's price of interest rates. The Swedish tax agency interpreted the ruling in that case as if a parent company always can be assumed to enjoy sufficient transparency and control to reduce the risk on their debt obligations. A great deal of uncertainty therefore surrounded their position and to what extent the Diligentia-ruling could be cited as precedent.
Karlstad och vattnet : En studie av hur förhållningssättet till översvämningsrisk har förändrats i Karlstads kommun sedan 1950-talet
The location on the river delta of Klarälven, adjacent to lake Vänern, makes Karlstad one of the Swedish cities where a significant flood risk is present. The city has several major floods in its memory which has caused great material damage and economic losses, the latest of which occurred in the winter of year 2000/2001. The purpose of the study is to examine how the approach to flood risk has changed in the municipality of Karlstad since the 1950s, and how this change has affected the current situation regarding the city's vulnerability to flooding. To investigate this, a document analysis was conducted, where key documents in the media and from the municipality of Karlstad was studied. Furthermore, an interview study was conducted with respondents who currently are employed or previously have been employed in the municipality of Karlstad, who in various ways work with issues of flood risk. The result of the study shows that several changes have taken place since the 1950s in terms of the municipality's approach to flood risk, which for instance has led to preventative measures being taken to a greater extent than previously in the physical planning.
Prestationsstyrsystem : En undersökning om dess önskade och oönskade effekter
Abstract Title: High-Risk Funds vs. Mutual- Index FundsA study of macro -variables influence on different funds choice Level: Final assignment for Bachelor Degree in Business Administration Author: Moses Yokie & Bo Lemar Supervisor: Ogi Chun & Cheick Wagué Date: 2011-05-25 Aim: The purpose with this thesis is to compare two different types of mutual-index fond and a high-risk fund in relation to the macro variables. The purpose also includes an investigation about if an investor will receives a higher return on high-risk fund than on mutual-index fund in a 10 years period.Method: A quantitative method has been use in this study, where the information has been received from Morningstar. Microsoft Excel has been used to process the collected data in order to calculate the expected return and the risk measures. The result is presented in graphs and tables on the empirical capital, in order to analyse and compare it with the theories and the selected macro- variables to see if there will be any correlation. Conclusion: This research shows that there is no possibility that the macro-variable factors can benefit an investment on high-risk fund or on mutual-index fund in the short run.