Sökning: "optimal belåningsgrad"

Hittade 4 uppsatser innehållade orden optimal belåningsgrad.

  1. 1. Optimal Capital Structures under the Vasicek Stochastic Interest Rate Model

    Master-uppsats, KTH/Matematik (Avd.)

    Författare :Oscar Danielson; Tom Hagéus; [2023]
    Nyckelord :Vasicek model; stochastic interest rate model; optimal capital structures; tax benefits; bankruptcy costs; transaction costs; optimal leverage ratio; optimal debt maturity; Vasicekmodell; stokastisk räntemodell; optimala kapitalstrukturer; skattefördelar; konkurskostnader; transaktionskostnader; optimal belåningsgrad; optimal löptid;

    Sammanfattning : This study applies the Vasicek stochastic interest rate model in order to determine optimal capital structures for listed firms. A Swedish interest rate data set is used to estimate Vasicek model parameter that are reliable and independent of initial start values. LÄS MER

  2. 2. Optimization of Collateral Allocation for Corporate Loans : A nonlinear network problem minimizing the expected loss in case of default

    Master-uppsats, KTH/Matematik (Avd.)

    Författare :Sofia Grägg; Paula Isacson; [2022]
    Nyckelord :Nonlinear optimization; network problem; transportation problem; Markowitz; credit risk; Loss Given Default; Loan to Value; collateral management; many-to-many relations; modern portfolio theory; expected loss; risk management; optimization; allocation; portfolio; modeling; Icke-linjär optimering; nätverksproblem; transportproblem; Markowitz; kreditrisk; förlust givet fallisemang; belåningsgrad; säkerhetshantering; många-till-många relationer; modern portföljteori; förväntad förlust; riskhantering; optimering; allokering; portfölj; modellering.;

    Sammanfattning : Collateral management has become an increasingly valuable aspect of credit risk. Managing collaterals and constructing accurate models for decision making can give any lender a competitive advantage and decrease overall risks. LÄS MER

  3. 3. Optimal Credit Rating with Regard to Capital Structure : A Mixed Method Study on the Swedish Real Estate Market

    Master-uppsats, KTH/Fastigheter och byggande

    Författare :Ludvig Engwall; Martin Bjerring; [2021]
    Nyckelord :Credit rating; Capital structure; Real estate; WACC; Capital market; Kreditbetyg; Kapitalstruktur; Fastigheter; WACC; Kapitalmarknad;

    Sammanfattning : In Sweden, the demand for official credit ratings has historically not been as substantial as in other parts of the world. This due to the fact that Swedish banks up until recently provided the market with shadow ratings. LÄS MER

  4. 4. Fastighetsbolagsstrategier på den svenska aktiemarknaden

    Uppsats för yrkesexamina på avancerad nivå, Lunds universitet/Fastighetsvetenskap

    Författare :Jesper Hofmann; Fredrik Lindquist; [2016]
    Nyckelord :Portfolio Theory; Diversification; Real Estate Market; Company Strategies; Investment strategy Fastighetsmarknaden; Bolagsstrategier; Diversifiering; Portföljvalsteori; Investeringsstrategi; Business and Economics; Technology and Engineering;

    Sammanfattning : Property management companies on the Swedish stock market have long been very profitable and represented a good investment for shareholders. The purpose of this study is to determine and define the property-related strategies of listed Swedish property management companies – and how the choice of strategies affects the company's performance on the stock market. LÄS MER