Sökning: "cash analysis"
Visar resultat 21 - 25 av 407 uppsatser innehållade orden cash analysis.
21. Värderingsmetoder för kommersiella fastigheter i Sverige : En jämförande studie av värderingsmetoder som används för olika typer av kommersiella fastigheter i Sverige
Kandidat-uppsats, KTH/Lantmäteri – fastighetsvetenskap och geodesiSammanfattning : Detta arbete har ägnat särskild uppmärksamhet åt kommersiella fastigheter, fastighetsvärderingar och olika metoder för fastighetsvärdering. Uppsatsen börjar med att understryka vikten av korrekta fastighetsvärderingar och presenterar den svenska marknaden för kommersiella fastigheter som en betydande och dynamisk sektor. LÄS MER
22. The Perception and Impact of Cultural Differences in Cross-Border Acquisitions - An analysis of how cultural differences affect the post-acquisition performance of acquiring companies in cross-border acquisitions
Master-uppsats, Göteborgs universitet/Graduate SchoolSammanfattning : This thesis examines the relationship between cultural differences and the post-acquisition performance of cross-border acquisitions. Cross-border transactions have increased substantially in the last decades which has led to an increase in studies interested in finding key drivers of performance in these transactions. LÄS MER
23. How does capital structure change during crises? A study through 2006-2021. Starring: The Financial crisis 2008 & the Covid-19 pandemic
Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionenSammanfattning : In this paper the changes in the capital structure in large European firms was studied through the years 2006-2021. The focus was on how the capital structure changes in a crisis. The timeline includes two crises, the financial crisis 2008 and the Covid-19 pandemic. LÄS MER
24. THE PREDICTIVE ABILITY OF FINANCIAL RATIOS ON STOCK RETURNS. A study of the S&P Global 100 during 2000 – 2020
Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionenSammanfattning : This study examines the predictive ability of ten financial ratios on annual stock returns at a one-year horizon. Ratios and stock returns are observed for the S&P Global 100 Index over the time period 2000 to 2020. The index is chosen for its representativeness stemming from the size and multinationality of its constituents. LÄS MER
25. Modeling Interest Rate Risk in the Banking Book
Master-uppsats, KTH/Matematik (Avd.)Sammanfattning : For a long time, being able to model and mitigate financial risk has been a key success factor for institutions. Apart from an internal incentive, legal and regulatory requirements continue to develop which increases the need for extensive internal risk control. LÄS MER