Sökning: "Investment Period"
Visar resultat 11 - 15 av 1091 uppsatser innehållade orden Investment Period.
11. VC Investment Decisions: Hunches, Metrics, or Coin Flips?
Kandidat-uppsats,Sammanfattning : Venture capitalists (VCs) face a complex decision-making process when selecting startups to invest in. This qualitative single case study aims to highlight the factors VCs take into account and how their decisions vary depending on the investment area and startup stage, where previous research has yielded conflicting conclusions. LÄS MER
12. The Impact of ESG-Scores on Portfolio Performance - A quantitative study on sustainable investments.
Master-uppsats, Göteborgs universitet/Graduate SchoolSammanfattning : This report examines the relationship between ESG-scores and portfolio returns using the Fama-French five-factor and Carhart four-factor models. The data is collected from Refinitiv (2023) between 2003 and 2021 and consists of firms listed on the NYSE and NASDAQ stock exchange. LÄS MER
13. Finansierings- och investeringsstrategier inom fastighetsbranschen En studie om börsnoterade fastighetsbolag
Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionenSammanfattning : This study is based on a literature study as well as a detailed examination of the companies’ annual reports over the past ten years. The literature study contributed to an insight and understanding of the real estate industry as well as theories on financing and investment strategies. LÄS MER
14. A valuation of Swedish hedge fund performance
Kandidat-uppsats, Göteborgs universitet/Institutionen för nationalekonomi med statistikSammanfattning : In this thesis we present annual returns of Swedish hedge funds sorted by investment strategies and investigate which strategy performs best and how the Fama-French factors: market premium, value premium and growth premium affect these returns. The Fama-French three-factor model is built on the Capital Asset Pricing Model which tries to describe the relationship between the expected return of an asset and the risk of the asset compared to the market. LÄS MER
15. Svenska bankers kommunikation kring indirekt klimatpåverkan
Kandidat-uppsats, Högskolan i Skövde/Institutionen för handel och företagandeSammanfattning : Bakgrund: I samband med att samhället strävar efter en mer fossilfri ekonomi och lagstiftare upprättar allt fler direktiv för vad en hållbarhetsrapport skall innehålla blir kraven på företag allt större. Banker har som investering- och finansieringsinstitut en miljöpåverkan genom de investeringar de hanterar. LÄS MER