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858 Uppsatser om Regression-analyzes - Sida 4 av 58
Vad påverkar fjärrvärmepriser i Sverige?: En ekonometrisk analys
The purpose with this thesis is to analyse different factors that can explain district heating prices for energy companies in Sweden. We are further interested in examining if the prices is affected by the use of industrial waste heat in their production and the company?s ownership structure. The method applied is a multiple regression analysis using a panel data set of 50 companies over 5 years (2008-2012). The data used is yearly data obtained from the Swedish district heating association.
Gymnasiebehörighet och sociala faktorer med linjär regression / The Influence of Social Factors on School Performance using the Linear Regression Model.
I det här arbetet har linjär regression använts för att undersöka omolika sociala faktorer påverkar om elever får gymnasiebehörighet. Undersökningen gjordes med kommunvis aggregerad data och faktorerna somundersöktes var utländsk bakgrund, försörjningsstöd, utbildningsnivå, arbetslöshet, disponibel inkomst, lärartäthet, andel lärare med pedagogiskexamen och skolornas kostnad.Statistiskt signikanta resultat erhölls för utländsk bakgrund, försörjningsstöd, utbildningsnivå, disponibel inkomst och lärartäthet. Enligtundersökningen påverkar utländsk bakgrund och försörjningsstöd gymnasiebehörigheten negativt. Utbildningsnivå och disponibel inkomst påverkarden positivt. Lärartätheten påverkar gymnasiebehörigheten positivt omandelen lärare i svenska som andraspråk och modersmål inte överstiger10,4 %.Resultaten för resten av de undersökta faktorerna var inte statistisktsignikanta och därför kan inget sägas säkert om dem utifrån den härundersökningen.Observera att inga slutsatser kan dras på individnivå.
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.
Bakslag och handslag: En fallstudie över Nordirlands process mot provinsregering
This essay is about the Northern Ireland Conflict and the Belfast Agreement. Its focus is on the development in Northern Ireland politics after the implementationof the Agreement which was ratified in a referendum. The essay is a case studywhich analyzes the progress towards an Assembly Government and powersharingbetween the unionists and the nationalists/republicans. The development is analyzed with Robert D. Putnam's theory of Two-Level Games? The essay first analyzes the changes in the unionist society where the opinion towards the agreement has been negative which depends on the concessions made by the unionist.
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.
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.
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.
DEN EKONOMISKA EFFEKTEN AV ÖVERKLAGANDEN I GÖTEBORG - Kan överklaganden mot bostadsbyggnadsprojekt härledas till demografiska faktorer och vilka ekonomiska effekter kan de ge för byggföretagen?
This bachelor thesis addresses the problem of appeals against house building in Gothenburg. The thesis investigates whether there is a statistically significant relationship between demographic factors and the occurrence of approved, appealed and revoked permits for new construction of residential buildings in the ten districts of Gothenburg. This is done with a correlation analysis. The report also investigates whether there is a statistically significant regression in the same demographic factors and how these individually affect the average processing time for appeals in the districts. This study is done with a multiple regression analysis.
Analys av bortfall i en uppföljningsundersökning av hälsa
The LSH-study started in 2003 at the department of Health and Society at the University of Linköping. The purpose of the study was to examine the relationship between life condition, stress and health. A total of 1007 people from ten different health centres in Östergötlands län participated. At the follow up, a couple of years later, 795 of the 1007 participated. 127 of the 212 in the attrition turned down the follow up, twelve people were not invited (for example in case of death) and the rest did not respond at all.
Vad styr den etiska fondefterfrågan? : Om vilka faktorer som som påvekar den etiska fondförmögenheten.
This paper examines what affects the demand for five Swedish ethical funds between the years 1997-2007. The purpose of this study is to examine if there is a relation between fund value and other values than just financial. This study examines if the number of conflicts in the world and the media?s coverage of the climate change debate could have an impact on the demand for ethical fund. A multiple linear regression shows that we don?t have a significant result from the examined variables except for household wealth.
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..
Konstruktion och utformning av skydd till spolverk
This thesis has been carried out in cooperation with Burseryds Bruk AB.Burseryds Bruk is a company that manufactures steel strapping. The thesis isabout developing a concept of protection that should be used to protect theoperators from the rotating parts of the machinery lines. The aim of the projectwas to improve work safety for operators working at the machines by producing aconcept for a protective device. The project's first part was based on ergonomic data collection methods tounderstand the operations performed on the machine and the hazard occurringduring the process. The methods used to collect data were, interviews,observations and questionnaires with the operators of the company. This was thenused to make the ergonomic analyzes hierarchical task analysis and link analysis. The data collected from the company's operators was used create 10 conceptswhich were then evaluated.
Kromatografi av polära läkemedel och metaboliter med HILIC-teknik
The purpose of this project was to investigate if retention of polar compounds that are given to treat tuberculosis, diabetes, inflammatory bowel disease and childhood leukemia could be obtained with HILIC separation. By varying different parameters for different types of columns the compounds were analyzed with the aim of finding guidelines for future method optimizations. To perform these analyzes three different columns were tested ? ZIC-HILIC (silica-based with zwitterions), ZIC-pHILIC (polymer-based with zwitterions) and XBridge Amide (amide functions). The results were evaluated with selected quality measures.
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.