Sökning: "Portfolio Manage"

Visar resultat 6 - 10 av 91 uppsatser innehållade orden Portfolio Manage.

  1. 6. Identifying the product deletion decision-making process at a large multinational company

    Master-uppsats, Mälardalens universitet/Akademin för innovation, design och teknik

    Författare :Johan Glenne; Alan Abdulrahman; [2023]
    Nyckelord :Product deletion process; Product deletion decision-making; Product portfolio management - product deletion;

    Sammanfattning : Date: 2023-06-04 Title: Identifying the product deletion decision-making process at a large multinational company Level: Master thesis in Industrial Engineering and Management, Product and Process development - 30 ECTS Institution: School of Innovation Design and Engineering, Mälardalen University Authors: Alan Abdulrahman & Johan Glenne Tutor: Angelina Sundström Keywords: Product deletion process; Product deletion decision-making; Product portfolio management - product deletion Aim: The purpose of this study is to identify how a large multinational company is managing its product portfolios, specifically how they conduct product deletion, and examine to what extent those decisions are influenced by external actors Research question: How does a large multinational company manage its product deletion decision-making and what role do external actors’ influences play? Methodology: This study is qualitative and utilizes an abductive approach where a theoretical framework has been created based on gatherings from a literature study combined with the empirical results based on five semi-structured interviews conducted with both local and global product managers at a large multinational company. Conclusion: This study has successfully identified how a large multinational company works with product deletion decision-making. LÄS MER

  2. 7. Nature’s Hidden Asset: Exploring Investors’ Awareness of Biodiversity

    Master-uppsats, Lunds universitet/Ekonomisk-historiska institutionen

    Författare :Sofya Ignatenko; [2023]
    Nyckelord :Biodiversity; biodiversity loss; nature-related impacts; non-financial reporting; investors; financial industry; TNFD; Business and Economics;

    Sammanfattning : This thesis studies the awareness of the Swedish financial sector on biodiversity and nature-related information by analyzing the external communication reports of firms listed on the NasdaqOMX stock exchange in Stockholm. The reports are analyzed with the help of a checklist and a Python script. LÄS MER

  3. 8. Storskogens styr- och investeringsprocess : Fasen före förvärv och dess påverkan på styrning efter integration

    Magister-uppsats, Linnéuniversitetet/Institutionen för management (MAN)

    Författare :Anton Fredriksson; Axel Sjöman; [2023]
    Nyckelord :;

    Sammanfattning : Ett investmentbolags uppgift handlar om att bygga upp en portfölj som anses respektabel. Val av företag görs i beaktning av potentiella framtida företagsintäkter. Förvärvande företag skaffar sig bättre erfarenhet kring vilka företag som ska förvärvas och att omorganisering i förvärvade bolag möjliggör värdeskapande. LÄS MER

  4. 9. Develop and Implement an Application Portfolio Management Framework : A case study at Atlas Copco

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

    Författare :Jiayi Guo; [2023]
    Nyckelord :Application portfolio management; APM; Application portfolio rationalization; IT Management; Atlas Copco; Organisering av applikationsporfölj; APM; rationalisering av applikationsportfölj; IT hantering; Atlas Copco;

    Sammanfattning : Application portfolio management (APM) is the ongoing process of managing and optimizing the IT application portfolio to maximize its value. It has become increasingly important since large organizations today rely on hundreds, if not thousands, of applications to operate their businesses which in turn causes problems such as unused, redundant, or inefficient applications. LÄS MER

  5. 10. KPI:s inverkan på hyrefastigheter : En studie om hur fastighetsbolag beaktar finansiell risk av hyresfastigheter inom sitt bestånd

    Kandidat-uppsats, Högskolan i Halmstad/Akademin för företagande, innovation och hållbarhet

    Författare :Melker Paver; Isak Rosberg; [2023]
    Nyckelord :Fastighetsbolag; finansiell risk; hyresfastighet; konsumentprisindex; flexibilitet;

    Sammanfattning : Title: The impact of Consumer Price Index on Rental Properties   Level: Bachelor’s Thesis in Business Administration    Authors: Melker Paver & Isak Rosberg   Examiner: Per Ola-Ulvenblad & Urban Österlund   Research question:  ·         How do real estate companies consider financial risk linked to rental properties of consumer price index?  ·         How do real estate companies manage risk when facing increased costs related to rental properties due to inflation and rising interest rates?   Purpose: The purpose of this thesis is to analyze and to gain an understanding of how private real estate companies consider and manage financial risk when costs increase due to consumer price index   Method: To accomplish the purpose of the thesis, the writers carried out a qualitive research together with an abductive research approach. The writers collected empirical data through the use of qualitative interviews with five private real estate companies. LÄS MER