Sökning: "Portfolio Manage"

Visar resultat 16 - 20 av 91 uppsatser innehållade orden Portfolio Manage.

  1. 16. Managing a diversified business model portfolio : A digital platform company perspective

    Master-uppsats, Uppsala universitet/Företagsekonomiska institutionen

    Författare :Viktor Andersson; Filip Möcander; [2022]
    Nyckelord :Business models; Business Model Diversification; Business Model Innovation; Business Model Integration; Cannibalization; Synergy;

    Sammanfattning : In parallel with the popularization and widespread diffusion of the internet, interest in the concept of different business models (BM) has increased dramatically, attracting the attention of both scholars and managers alike (Dodgson, Gann and Phillips, 2013). As a result, an increasing number of businesses decide to establish themselves and compete in the digital arena (Lee, 2001); many of which are employing what is called a platform model capitalizing on the ability to operate with several BMs simultaneously (Gu, Kannan and Ma, 2018; Aversa, Haefliger, Hueller and Reza, 2021). LÄS MER

  2. 17. Natural Hazards Impact on Real Estate Value : A Semi - Quantitative Risk Assessment of the Climatic Impact on Commercial Buildings in Milan, Italy

    Master-uppsats, KTH/Fastighetsföretagande och finansiella system

    Författare :Agnes Karlsson; Robin Claesson; [2022]
    Nyckelord :Natural Hazards; Real Estate Value; Climate Risk; Vulnerability; Extremväder; Fastighetsvärde; Klimatrisk; Sårbarhet;

    Sammanfattning : In the light of the increased frequency of natural hazards in Europe alongside the high impact a hazardous event has on real estate value, real estate owners need to manage and strengthen assets within their entire portfolio to increase resilience and minimize the vulnerability to future negative impact. Further, a research gap exists in how to incorporate climate variables with real estate specifics which makes it challenging for property managers and other stakeholders to interpret the climatic impact on a particular asset. LÄS MER

  3. 18. Aktivitetsgrad och Avkastning

    Kandidat-uppsats, Lunds universitet/Nationalekonomiska institutionen

    Författare :Alice Corneliusson; Axel Galliher; [2022]
    Nyckelord :Aktiv fondförvaltning; Active share; Tracking error; Dolda indexfonder; Business and Economics;

    Sammanfattning : Mutual fund savings in Sweden has during the last 40 years gone from close to nil to represent a large portion of the private and public savings within the country. However, in recent years, the occurrence of closet indexing has been brought to light by researchers and media. LÄS MER

  4. 19. Investmentbolag, småsparare och vikten av kompetens : En undersökning av risker kopplade till kompetensen hos småsparare & investmentbolag på aktiemarknaden

    Kandidat-uppsats, KTH/Fastigheter och byggande

    Författare :Thea Hallsten; Oscar Hambraeus; [2022]
    Nyckelord :investment; stock-market; portfolio; competence; risk; yield; investering; aktier; portfölj; kompetens; risk; avkastning;

    Sammanfattning : Marknaden har visat på en signifikant ökning av finansiellt sparande samtidigt som investmentbolag har ökat avsevärt i popularitet. Den allmänna uppfattningen är att småspararna inte är särskilt kompetenta angående aktier och aktiemarknaden i stort. LÄS MER

  5. 20. Sentimentanalys för investeringsbeslut : Pressmeddelanden och aktieutveckling - Ett försök att slå börsen med hjälp av textklassificering

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

    Författare :Jesper Senke; Fredrik Strandberg; [2022]
    Nyckelord :;

    Sammanfattning : To invest your money in the stock market and successfully choose the stocks which will generate the biggest returns is desired by most. The amount of public stock market information is close to limitless and crucial to making solid investment decisions. One way for companies to supply the market with important information is through press releases. LÄS MER