Sökning: "företagsledning risk"

Visar resultat 16 - 20 av 256 uppsatser innehållade orden företagsledning risk.

  1. 16. Innovation in the Construction Sector

    Magister-uppsats, Lunds universitet/Företagsekonomiska institutionen

    Författare :Olof Roos; Christian Mannesson; [2011]
    Nyckelord :Construction sector; Innovation; Contextual factors; Green Building; Network Theory; CoPS; Management of enterprises; Företagsledning; management; Business and Economics;

    Sammanfattning : This thesis has aimed to describe how the context affect innovation in the Swedish construction industry. The construction industry is considered to be a complex industry, which make it distinctively different that a market of mass-produced goods. LÄS MER

  2. 17. CSR in Commercial Banks - Comparison of the U.S and Swedish Market

    Magister-uppsats, Lunds universitet/Företagsekonomiska institutionen

    Författare :Cigdem Degirmencioglu; Tushar Amin; [2011]
    Nyckelord :Carroll’s CSR Model; Commercial Banks; Corporate Social Responsibility; National Business System Approach; Risk Management; Management of enterprises; Företagsledning; management; Business and Economics;

    Sammanfattning : The overall objective of this thesis was to investigate how CSR is approached by commercial banks in the U.S and Sweden respectively. We have therefore made a comparative analysis of the national differences in terms of CSR. This research was done by introducing and identifying dimensions that affect the CSR practices in each country. LÄS MER

  3. 18. CSR in Commercial Banks - Comparison of the U.S and Swedish Market

    Magister-uppsats, Lunds universitet/Företagsekonomiska institutionen

    Författare :Tushar Amin; Cigdem Degirmencioglu; [2011]
    Nyckelord :Corporate Social Responsibility; Commercial Banks; Carroll’s CSR Model; National Business System Approach; Risk Management; Management of enterprises; Företagsledning; management; Business and Economics;

    Sammanfattning : The overall objective of this thesis was to investigate how CSR is approached by commercial banks in the U.S and Sweden respectively. We have therefore made a comparative analysis of the national differences in terms of CSR. This research was done by introducing and identifying dimensions that affect the CSR practices in each country. LÄS MER

  4. 19. Downside Risk Measurement of Thailand Equity Mutual Funds

    Magister-uppsats, Lunds universitet/Företagsekonomiska institutionen

    Författare :Hulda Sigmundsdóttir; Ploenpit Udomsapsanti; [2011]
    Nyckelord :Value at Risk; equity mutual funds; Thailand; student-t distribution; log-normal distribution; EWMA; volatility weighted historical; GARCH 1; 1 ; historical simulation; backtesting; Bernoulli; Kupiec; Christoffersen.; Management of enterprises; Företagsledning; management; Business and Economics;

    Sammanfattning : Abstract Value at Risk (VaR) is a simple, transparent and consistent measure that summarizes all sources of downside risk. VaR has gained acceptance in the banking industry in accordance to Basel II rules which require banks to use VaR in calculations of market risk. VaR as a risk measure is not as widely accepted in the investment industry. LÄS MER

  5. 20. Finansinspektionen - en studie av myndigheten som övervakar företagen på den svenska marknaden

    Kandidat-uppsats, Lunds universitet/Företagsekonomiska institutionen

    Författare :Louise Nilsson; Ewa Belovai; [2011]
    Nyckelord :Finansmarknaden; tillstånd; regler; tillsyn; tradingportfölj; Management of enterprises; Företagsledning; management; Business and Economics;

    Sammanfattning : Syftet med uppsatsen är att granska hur Finansinspektionen agerar då finansiella företag i Sverige inte uppfyller de krav vilka följer med innehavet av tillstånd för bankrörelse, värdepappersrörelse och fondverksamhet. För att exemplifiera detta använder vi oss av fallet med HQ Bank och redogör för vad som gjorde att banken fick sina tillstånd återkallade. LÄS MER