Sökning: "portfolio company"
Visar resultat 11 - 15 av 393 uppsatser innehållade orden portfolio company.
11. Implementing Strategy through PPM in an Internal Development Department
Master-uppsats, Linköpings universitet/Projekt, innovationer och entreprenörskapSammanfattning : The focus of strategy research has long revolved around strategy formulation rather thanstrategy implementation, despite the evidence indicating that intended strategies are rarelyachieved. Project portfolio management, PPM, assumes a crucial role in enabling strategyimplementation and can be regarded as a representation of the organization's actual pursuedstrategy. LÄS MER
12. Develop a Process for the Selection of New Continuous Improvement Projects : A case study of the prioritization of Lean Six-Sigmain the quality management team in an assembly industry through the AHP method
Master-uppsats, Mälardalens universitet/Akademin för innovation, design och teknikSammanfattning : The research focuses on the selection and prioritization of Continuous Improvement (CI)projects in organizations. This study emphasizes the importance of recognizing appropriatecriteria for selecting projects that align with an organization's needs, skills, and goals. LÄS MER
13. Betydelsen av hållbarhet i institutionella investerares investeringsbeslutsprocess
Uppsats för yrkesexamina på avancerad nivå, Luleå tekniska universitet/Institutionen för ekonomi, teknik, konst och samhälleSammanfattning : Bakgrund - Den finansiella sektorn har en viktig funktion i omställningen mot ett merhållbart samhälle, där institutionella investerare genom hållbara investeringar kan ha storbetydelse för den hållbara utvecklingen. Samtidigt har hållbarhet också fått en störrebetydelse för institutionella investerare i deras beslut om investeringar. LÄS MER
14. The potential effects of the new FDI screening mechanism on Chinese FDI in Sweden
Magister-uppsats, Uppsala universitet/Företagsekonomiska institutionenSammanfattning : Background: Regulation (EU) 2019/452 provides a European Union framework for the screening of direct investments from non-EU countries on the grounds of security or public order. It has taken effect for three years; however, Sweden is at a stage of preparatory to enact such a mechanism. LÄS MER
15. Portfolio Risk Modelling in Venture Debt
Master-uppsats, KTH/Matematisk statistikSammanfattning : This thesis project is an experimental study on how to approach quantitative portfolio credit risk modelling in Venture Debt portfolios. Facing a lack of applicable default data from ArK and publicly available sets, as well as seeking to capture companies that fail to service debt obligations before defaulting per se, we present an approach to risk modeling based on trends in revenue. LÄS MER