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7610 Uppsatser om Total risk - Sida 9 av 508
Försvaret i skolan : En studie om total- och civilförsvarundervisning i skolan under 70-talets kallakrigsår.
The purpose of this essay is to illustrate the preparation of total and civil defense education in schools in the 1970s to gain insight into how the school looked and pondered the complicated world that existed outside the school's doors. By using the concepts of welfare state, welfare and civil defense culture, I have studied relevant materials to get answers to questions treating the total and civil education in schools after Lgr69, the way the state sees the subject and if it is possible to detect a civil defense culture in schools and if so, how it will be expressed. The results show that the state emphasized education as incredibly important because knowledge of how to act in a crisis or war could be extremely crucial for the individuals and their survival. The education was so important that it got a role as a main factor in Lgr69. But even if the education was important the teachers had huge problems with the schedule and many teachers couldn´t educate all facts because they didn´t have enough time.
Motiv vid köp av skogsfastigheter : Ur privatpersoners perspektiv
Abstract Over the years the consciousness of risk has grown. It?s hard to influence risks, therefore there are guidelines stating that significant risk must be included in the annual report. This paper is a case study; the purpose was to examine how four Swedish listed companies chose to disclose their internal and external risks. Risk is initially described in general sense and then it figures to what constitutes an economic risk.Through a case study of four Swedish listed companies? annual reports we have, through qualitative methods found how the companies chose to disclosure their risks.
Risk och osäkerhet vid inträde på den svenska apoteksmarknaden: En studie om nya aktörer på en marknad under omreglering
The Swedish pharmacy market will be re-regulated in July 2009 which will present private actors with an opportunity to enter the market. Several risks and uncertainties are associated with such an entry. The purpose of this thesis is to increase the understanding of identification and management of risks and uncertainties associated with entering the Swedish pharmacy market. We also intend to investigate similarities and differences in risk identification and risk management as well as create an understanding of the underlying reasons for these similarities and differences. Three companies interested in entering the market have been interviewed and the interviews were conducted with an open approach to avoid influencing the companies? answers.
En undersökning av specialpedagogiska perspektiv inom ridterapi
Background: Investors have several options to choose from when the goal is to achieve the highest yield at the lowest cost and risk. Stocks are a common investment options, but is also associated with risks. Portfolios are usually constructed with several different assets to reduce the unsystematic risk of investment. Funds are similar to composite stock portfolios, the big difference is that they dealt with in their entirety and investors may not affect the fund's content. The problem remains that whether you choose stocks or mutual funds there is still uncertainty as to how the future will unfold.
What influence does Tai Chi have on the risk for falling among elder?
Background: 2007 there was 42 000 fall related accidents in Sweden and they are expected to increase the next few years. Fall among elders results in both increasing economically costs and suffering, but they can be prevented. For example has physical exercise shown an increasing effect on the risk for falls. Aim: The aim of this literature review was to investigate what influence Tai Chi has on the risk for falling among elder. Method: A literature review was conducted where eleven scientific articles were analysed with inspiration of the content analysis.
Riskhantering vid kreditgivning till lantbruksföretag : riskanalyser av fyra fallgårdar
The last years? financial situation has contributed to an increased willingness from the banks to handle risks. The most important risk to cope with is a risk that is related to a customer?s ability to repay loans. Forecasts indicate that in the future, Swedish farmers will be facing profitability challenges, which points to a need to reconsider the banks procedures considering risk management in credit granting for agricultural businesses.Today?s risk management will be given two complements in this study.
Risky Business : En studie i avkastning och risk
SammanfattningDenna uppsats undersöker möjligheterna att bedöma en akties framtida risk och avkastning med hjälp av nyckeltalen soliditet och marknadstillväxt. För att göra detta undersöks företag noterade på Stockholmsbörsen under perioden 2004-12-31 till 2006-06-30. Analysen görs med hjälp av linjär regression och visar att nyckeltalen inte har något signifikant samband med risk och avkastning med reservation för ett lågt men signifikant samband mellan marknadstillväxt och beta på 5%-nivå..
Skogsbolagens motiv bakom valet av egenägd skog och virkesinköp
Abstract Over the years the consciousness of risk has grown. It?s hard to influence risks, therefore there are guidelines stating that significant risk must be included in the annual report. This paper is a case study; the purpose was to examine how four Swedish listed companies chose to disclose their internal and external risks. Risk is initially described in general sense and then it figures to what constitutes an economic risk.Through a case study of four Swedish listed companies? annual reports we have, through qualitative methods found how the companies chose to disclosure their risks.
Är riskjusterad fondavkastning en funktion av fondförvaltarens bakgrund och egenskaper?
Avkastning och risk för en aktiefond styrs generellt av flera direkta och indirekta mekanismer, exempelvis relaterade till nationella makroekonomiska faktorer såsom ränteförändring och inflation. Utöver makroekonomiska faktorer finns indirekt mikroekonomisk påverkan, exempelvis relaterad till riskaversion, preferenser och irrationellt beteende hos individen. Därtill påverkas aktiefondernas avkastning och risk av övergripande internationella konjunkturcykler, inkluderande internationell makroekonomi.Studien som här presenteras fokuserar på att undersöka och kvantifiera hur bakgrund och egenskaper hos fondförvaltare systematiskt påverkar avkastning och riskexponering för 42 aktivt förvaltade svenska aktiefonder. Undersökningen inkluderar utbildningsnivå, kön, ålder och erfarenhet hos ansvarig fondförvaltare som förklarande variabler, samt avkastning, risk och riskjusterad avkastning som beroende variabler. Studien använder Sharpekvot, Treynorkvot och Jensens alpha som värderingskvoter för att åskådliggöra riskjusterad avkastning över tid.
Inkludering en del av en klass? : Hur 12 pedagoger tänker kring inkludering och dess innebörder.
Background: Investors have several options to choose from when the goal is to achieve the highest yield at the lowest cost and risk. Stocks are a common investment options, but is also associated with risks. Portfolios are usually constructed with several different assets to reduce the unsystematic risk of investment. Funds are similar to composite stock portfolios, the big difference is that they dealt with in their entirety and investors may not affect the fund's content. The problem remains that whether you choose stocks or mutual funds there is still uncertainty as to how the future will unfold.
En studie om värdepåverkande faktorer vid köp av bostadsrätt
Abstract Over the years the consciousness of risk has grown. It?s hard to influence risks, therefore there are guidelines stating that significant risk must be included in the annual report. This paper is a case study; the purpose was to examine how four Swedish listed companies chose to disclose their internal and external risks. Risk is initially described in general sense and then it figures to what constitutes an economic risk.Through a case study of four Swedish listed companies? annual reports we have, through qualitative methods found how the companies chose to disclosure their risks.
Hantering av inköpsrisk vid svenska kafferosterier : när smaken får avgöra En studie av hur riskhantering kan integreras i inköpsprocessen
Background: The strategic importance of purchasing departments is increasing, yet supply risks are rather uncharted. The procurement of coffee involves supply risks and the purchaser needs to be able to handle these to enable the roasting-house to produce coffee as specified. Purpose: To chart risks in connection with the procurement of coffee as well as the possibilities of handling these. The thesis also examines if general risk management theories are applicable on the supply risk present within Swedish roasting-houses and can become an integral partof the purchasing process. Method: A qualitative case study of the purchasing process of Swedish roasting- houses.
Villa Furulid : gamla anor möter dagens behov
The last years? financial situation has contributed to an increased willingness from the banks to handle risks. The most important risk to cope with is a risk that is related to a customer?s ability to repay loans. Forecasts indicate that in the future, Swedish farmers will be facing profitability challenges, which points to a need to reconsider the banks procedures considering risk management in credit granting for agricultural businesses.Today?s risk management will be given two complements in this study.
Kontantbraschen : Revisorers och redovisningskonsulters syn på införandet av kassaregisterlagen
Abstract Over the years the consciousness of risk has grown. It?s hard to influence risks, therefore there are guidelines stating that significant risk must be included in the annual report. This paper is a case study; the purpose was to examine how four Swedish listed companies chose to disclose their internal and external risks. Risk is initially described in general sense and then it figures to what constitutes an economic risk.Through a case study of four Swedish listed companies? annual reports we have, through qualitative methods found how the companies chose to disclosure their risks.
Självskattad stress och total arbetsbelastning hos småbarnsmammor i storstad och tätort
Förvärvsarbetande kvinnors obetalda arbete och huvudansvar för hem och barn resulterar generellt i en högre total arbetsbelastning jämfört med män. I föreliggande studie användes etablerade självskattningsinstrument för att undersöka hur självskattad stress är relaterad till total arbetsbelastning och om stress och arbetsbelastning varierar i storstad respektive tätort. Totalt deltog 114 sammanboende yrkesarbetande småbarnsmammor med minst ett barn under 12 år. Resultatet indikerar ett samband mellan småbarnsmammors stressbelastning och ansvar för hem och barn oavsett bostadsort, dock är det särskilt markant i tätorter. Den totala arbetsbelastningen var hög, särskilt det obetalda arbetet, men tycktes inte vara relaterad till upplevd stress.