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719 Uppsatser om Return on asset - Sida 21 av 48
Vuxenliv med funktionshinder : En studie om unga vuxna med lindrig utvecklingsstörning
This study focuses on young adults with mild mental retardation and how their early adult life is a few years after leaving high school. They have grown up in a society where the view on mentally disabled has undergone big changes. Political decisions regarding handicapped, laws, official principles and social reforms have been dominated by the prinziple of normalization.The purpose has been to describe how the young adults themselves experience their life. The questions were: How is the every day life for young adults with mild mental retardation? Do they have asset to community support in order to reach as normal life as possible? How satisfied are they with their life?The investigation is a quality study through interviews with four young adults and their parents.
Modell för värdering och hantering av avbrottsrisker vid kontinuitetsplanering (BCP) : Fallet Swedwood
This master thesis presents a Model for Evaluating and Managing Interruption Risks in connection with Business Continuity Planning (BCP), developed for Swedwood International. The model consists of a template with instructions. The model should be easily understood and useful for establishing a plan for BCP. This is achieved by including the contents and procedure of BCP and the main supplychain risks in the model. The purpose of a BCP plan is to describe how an enterprise will return to business as usual after an interruption, e.g.
Psykologiska beslutsfällors inverkan på investeringsbeslut
Problem: The question is if investors falls into psychological decision traps when they are about to make an investments decision. Research in other areas suggests that this may be case. The reason is that they are not aware of that psychological decision traps exist. If so, it can lead to pernicious consequences for the return on the portfolios they manage. Purpose: To investigate if investors fall into four different psychological decisions traps: anchoring, confirming evidence, overconfidence and regression towards mean, at investments in IPOs Method: We have collected data through a form of experiment.
Hantering och behandling av ferala katter på kliniken
Runtom i världen finns det utarbetade metoder för att begränsa den ökande populationen av förvildade katter. Studier gjorda över så kallade TNR-projekt (Trap, Neuter, Return) har visat goda resultat på den långvariga effekten av minskad förökning, men också på en förbättrad välfärd för individerna. I USA finns det kliniker som arbetar mycket eller enbart med dessa patienter. Dessa blir finansierade genom statliga bidrag, privatpersoners donationer, samt fri-villig arbetskraft. Lämpliga anestesipreparat har utvärderats till just dessa patienter, och rikt-linjer för hantering av icke hanterbara individer finns dokumenterade i flera studier.
I Sverige uppskattas antalet hemlösa katter till cirka 100 000, men problematiken kring dessa individer sköts i stort sett av privatpersoner och katthem.
I'm going to make you rich! : With a little help of Piotroski
Master thesis in Business Administration, Swedish Business School at ÖrebroUniversity, spring semester 2012Authors: Anders Oskarsson & Christian UhlanderTitle: I?m going to make you rich! -With a little help from PiotroskiResearch objective: This paper examines whether a simple account-based analysis strategy,F_SCORE, can improve returns earned by an investor. The results show that F_SCORE generated a69,7 % annual return between 2001-2010 at the Swedish market, which was better than the furtherdeveloped model A_SCORE. Overall, the evidence suggests that the market does not incorporatehistorical information into prices in a timely manner.Methodology: The foundation for this thesis is based on a quantitative approach and empiricalmaterial is gathered from Thomson Reuters Datastream for the Swedish market..
It is easier to swallow an elephant in pieces. A way of measuring flexibility and quality. A study of DAS.
Upon marketing the system in Europe and the USA cost savings generated from reduced work force have been prevailing. Since the cost of labour is much lower in the Asia Pacific region other factors have to be stressed. The parameters of flexibility and quality assurance may however cover any initial investment in a production system. Our purpose is to value flexibility and quality in a manufacturing context, applied to DAS, in order to use it in investment calculations. In order to make an adequate estimation of different companies, due to problems associated with acquiring correct figures, the Key Success Factors needs to be examined so that the gathering of numbers can be conducted with more focus.
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.
Kommunikationsproblem och bemötande inom referenssamtalet
This bachelor thesis is about communication problems and treatment during the reference interview. The purpose was to investigate the reasons of why users? information needs are not always understood by the librarian and what to do about it. I have also investigated what kind of skills that can be useful for librarians to have and how a librarian can act in a way that makes the user feel welcome during the reference interview. The method I used was a literature study and an own study through interviews of library users.
Integrationsprocesser bland 6 invandrade japanska personer i Sverige
This research outlines studies about the relationship between social integration process of Japanese immigrants in Sweden and how social media assists in this process. The purpose of this research includes: To find out the reasons of migration to Sweden for six Japanese immigrants, any difficulties that they faced at the beginning of their immigration process and/or any positive qualities that they found in living in Sweden, whether they have accessed social media since they have moved in, if they do so, how the social media has been used and also, whether the social media has had a role to play in contributing to help their social integration process. In addition, it has been considered whether the participants have plans to return to Japan. In Sweden, there is relatively small Japanese migrant population. This social science research paper is the first in Sweden which explores the immigration process of Japanese migrants into Sweden.
ALTERNATIV INDEXERING : En studie över alternativa viktningsmetoder av OMXS30 under tidsperioden 2004-2010
I denna uppsats undersöks hur alternativa viktningsmetoder av OMXS30 har presterat mellan 2004-2010. Studien har sin utgångspunkt i teorierna kring Capital Asset Pricing Model och Effektiva Marknadshypotesen. Syftet med studien är att undersöka huruvida ett kapitalviktat index är effektivt i enlighet med dessa teorier. I studien konstrueras fem stycken index, ett kapitalviktat, två fundamentalviktade, ett riskviktat och ett kombinationsviktat index. För att avgöra indexens historiska prestation analyseras de utifrån utvärderingsmått som mäter riskjusterad avkastning.
Rysslandsfonder : En analys av utveckling och risk mellan åren 1999 och 2005
Rysslandsfonder är en av många fonder som finns tillgängliga för att investera i. Ryssland har haft en starkutveckling de senaste åren. I uppsatsen görs en jämförelse av utveckling och risk mellan Rysslandsfonder och den svenska markanden representerad av SIX Return index. Utvecklingen hos Rysslandsfonderna har månadsvis under perioden 1999-2005 varit betydligt mer gynnsam än för det representerade Sverige index. Risken med standardavvikelse som en indikator för detta visar att det innebär en större risk att investera i Rysslandsfonder.
Islamiskt bankväsende : en kvalitativ studie om internationaliseringsprocessen för islamiska banker
The first official Islamic bank was established in 1975. The characteristic of an Islamic bank is that the bank is based on an interest free system. The interest free system is a requirement for an Islamic bank. The Islamic bank system is based on Sharia laws which are laws that are followed by Muslims and it is based on the text from the Quran. The Islamic Banks had a rapid expansion between 1993 and 2003, the expansion was about 23 percent and since 2003 have the expansion been about 20 percent.
Finanskrisens påverkan på läkemedelsbranschen : En studie kring finanskrisen och dess påverkan på läkemedelsbranschen.
Syfte: Syftet med den här uppsatsen är att undersöka läkemedelsföretag för att sedan jämföra läkemedelsbranschen med stockholmsbörsen för att se hur läkemedelsbranschen påverkats av finanskrisen på slutet av 2000-talet.Metod: Studien bygger på en hypotesprövning och författarna har valt att använda en deduktiv ansats och en kvantitativ datainsamlingsmetod för att samla in data kring läkemedelsaktier.Teori: Studiens analyser bygger på två teoretiska modeller. Den ena är CAPM (Capital Asset Pricing Model) som är en modell som används för att räkna fram avkastningskravet för aktieägarna. Det andra är ett teorem (Modigliani-Millers) avseende kapitalstruktur och som behandlar marknadsvärdet på ettbolag oberoende av finansieringsform eller distribution av utdelningar.Empiri: Jämförelser mellan Stockholmsbörsens generalindex och de fem största läkemedelsbolagen visar på att läkemedelsbolagen delvis följer börsens utveckling. Men över tid så visar sig läkemedelsaktierna vara stabilare och återhämtar sig snabbare än börsen som helhet.Slutsats: Till en början kan man se att finanskrisen har påverkat hela börsen inklusive läkemedelsbranschen. Dock visar en närmare observation av händelsen att läkemedelsaktierna återhämtar sig betydligt fortare och att de totalt sett inte svänger lika mycket..
Abnorm avkastning för konkurrenter till budmottagande företag - En empirisk studie av företag listade på Nasdaq OMX Nordic
This paper aims to investigate abnormal returns for rivals to bidder targets in connection with the announcement of the bid. The study is based on 38 bids placed between September 2006 - January 2011 and 137 rival firms listed on Nasdaq OMX Nordic. We measure cumulative abnormal returns, CAR, for rival firms through an event study. We find that rival firms earn significant positive CAR in connection with the announcement of the bid. This is in line with the two-sided signaling effect presented by Akhigbe et al.
Försäkringsbranschen : ett nödvändigt ont?
This paper examines how companies in a transparent industry work to satisfy the customer in an extended way, to offer value added products that in the end enables the customer to be loyal to the company. We have studied the insurance industry in Sweden and have focused on five different insurance companies. Four of them, Folksam, Länsförsäkringar, Trygg-Hansa and Dina Försäkringar, where we have focused on Ölands Försäkringar which is part of the Dina Försäkringar group, are some of the largest insurance companies in Sweden. The fourth company is Swedbank which is a bank that has started to offer insurances.Our results demonstrate that it is important for the company to see the customer not only in a profitability aspect; the company has to find out what the customer gets in return. In that case the possibility for the customer to change company decreases and the chance that the customer becomes loyal increases.