Sökning: "Debt Portfolio Management"

Visar resultat 1 - 5 av 22 uppsatser innehållade orden Debt Portfolio Management.

  1. 1. Financial Strategies of Real Estate Companies in Sweden : Navigating Economic Cycles

    Master-uppsats, KTH/Fastighetsföretagande och finansiella system

    Författare :Olivia Nygren; Malin Lagerholm; [2023]
    Nyckelord :Real Estate; Economic Downturn; Financial Strategy; Fastigheter; Konjunkturnedgång; Finansiell strategi;

    Sammanfattning : The real estate sector has been heavily impacted by rising inflation and subsequent interest rate increases. This is placing pressure on all real estate companies with higher levels of debt. The rising interest rates are leading to increased costs and making it more challenging for these companies to refinance their loans. LÄS MER

  2. 2. Structural Review and Performance Evaluation of Real Estate Tokens

    Master-uppsats, KTH/Fastighetsekonomi och finans

    Författare :Berke Bayhoca; [2023]
    Nyckelord :Blockchain; Security Token; Real Estate; Portfolio Management; Blockchain; Säkerhetstoken; Fastigheter; Portföljförvaltning;

    Sammanfattning : This thesis study includes quantitative and qualitative research on real estate tokens, one of the leading security tokens. Security tokens, which are based on blockchain technology, are rapidly becoming widespread as new era investment products. Real estate tokens have long stood out as one of the most popular of these tokens. LÄS MER

  3. 3. Macroeconomic Factors and their role in Moderating Diversification effect of Asset Classes in the EU

    Master-uppsats, Umeå universitet/Företagsekonomi

    Författare :Karl Nilsson; Tanyue Zheng; [2023]
    Nyckelord :macroeconomic factors; asset classes; diversification strategies; portfolio management; institutional qualities;

    Sammanfattning : After the 2008 financial crisis, some have questioned the historically positive benefits ofdiversification, meanwhile others have stated a clear misunderstanding of whatdiversification entails. This study argues diversification is still viable in portfolio theory,and that more effort should be emphasized on macroeconomic factors’ role in theoptimal portfolio. LÄS MER

  4. 4. The Development of Debt Policies : A Case Study of Investor’s and Industrivärden’s Portfolio Companies

    Master-uppsats, Uppsala universitet/Företagsekonomiska institutionen

    Författare :Alma Karlsson; Jenny Olsson; [2023]
    Nyckelord :debt; debt policies; ownership; investment companies; time series; content analysis;

    Sammanfattning : Debt financing can be seen as both an opportunity to increase profits as well as a financial risk and is thus an important issue for company owners to consider. This study examines the portfolio companies of the investment firms Investor and Indsutrivärden, and how their debt policies have developed from 2004 to 2022. LÄS MER

  5. 5. Applying machine learning to automate stock portfolio management

    Kandidat-uppsats, KTH/Skolan för elektroteknik och datavetenskap (EECS)

    Författare :Oscar Azrak; Alperen Kinali; Kristian Makadsi; [2022]
    Nyckelord :Fundamental Analysis; Machine Learning; Revenue; Net Income; ROIC; Free Cash Flow; FCF; Debt-To-Equity;

    Sammanfattning : There are multiple ways to analyze stock companies. One way is using fundamental analysis, which means one is analyzing the company’s business key figures, such as revenue, net income and more. LÄS MER