Avancerad sökning
Hittade 3 uppsatser som matchar ovanstående sökkriterier.
1. Geopolitisk risk och dess påverkan på Stockholmsbörsens volatilitet
Kandidat-uppsats,Sammanfattning : The aim of this thesis is to analyze if geopolitical risk has an effect on the volatility of the Swedish stock market. The methods: OLS-regression and quantile-regressions are used. Geopolitical risk is quantified using an index created by Caldara and Iacoviello (2018) that measures the geopolitical risk. LÄS MER
2. Capital structure's influence on volatility on in times of financial distress : An investigation on capital structure as a volatility influencer before, during and after the European debt crisis on the Stockholm Stock Exchange
Uppsats för yrkesexamina på avancerad nivå, Umeå universitet/FöretagsekonomiSammanfattning : The financial crisisand the European debt crisis wreaked havoc on many European economies and stock markets. Previous studies have shown that crises are associated with high debt and linked with lower growth. LÄS MER
3. Can lean be mean? : A study of negative consequences of lean in supply chains
Magister-uppsats, Blekinge Tekniska Högskola/Sektionen för managementSammanfattning : Today's world is characterized by volatility and uncertainty. Cooperation is needed to survive in this harsh business climate. Cooperation in supply chains are practiced and well known but in today's tough and volatile environment it is simply not enough. LÄS MER