Sökning: "relative risk model"
Visar resultat 1 - 5 av 144 uppsatser innehållade orden relative risk model.
1. Peers, Privacy & Pleasure: A mapping of how social norms influence consumers in their diffusion of a social media application with privacy implications, the case of TikTok
Master-uppsats, Göteborgs universitet/Graduate SchoolSammanfattning : TikTok, the social media network where users can post and share user created content with one another, has fallen under examination of governments across the globe due to rising distress in regards to the privacy implications that the app may have. Understanding how TikTok reached such success even with an apparent privacy implication calls for a mapping of the social norms (Injunctive, Descriptive, Personal) and how they shaped consumer perceptions. LÄS MER
2. The Greenfee of Beta - Unraveling the Impact of Sustainability on Systematic Risk
Kandidat-uppsats,Sammanfattning : This paper unravels the impact of sustainability on systematic risk. Literature suggests that enhanced sustainability reduces companies' systematic risk, thanks to e.g. product differentiation, a broader spectrum of investors holding the assets, or simply because there exists a specific ESG factor. LÄS MER
3. Exploring the Idiosyncratic Volatility Anomaly in the Swedish Stock Market: An Empirical Analysis of its Impact on Returns
Master-uppsats, Göteborgs universitet/Graduate SchoolSammanfattning : We examine the cross-sectional relationship between idiosyncratic volatility relative to the Fama-French three factor model and expected stock returns. We find that portfolios containing the firms with the lowest idiosyncratic risk offers excess returns in relation to the prediction of the Fama-French three factor model, while those with the highest idiosyncratic risk do not. LÄS MER
4. Aktiemarknadsprognoser: En jämförande studie av LSTM- och SVR-modeller med olika dataset och epoker
Kandidat-uppsats, Malmö universitet/Fakulteten för teknik och samhälle (TS)Sammanfattning : Predicting stock market trends is a complex task due to the inherent volatility and unpredictability of financial markets. Nevertheless, accurate forecasts are of critical importance to investors, financial analysts, and stakeholders, as they directly inform decision-making processes and risk management strategies associated with financial investments. LÄS MER
5. Vilka orsakar problemen? : En kvalitativ studie om användningen av cylindermodellen.
Kandidat-uppsats, Umeå universitet/Institutionen för socialt arbete; Umeå universitet/Enheten för polisutbildning vid Umeå universitetSammanfattning : Research shows that police methods which aim to systematically focus on people, places and crimes that has been pointed out to be of a high-risk nature have yielded positive results in crime prevention. Furthermore, research shows that there is a relatively small percentage of those who commit crimes that account for a large percentage of the total crimes. LÄS MER