Sökning: "stock preferences"
Visar resultat 1 - 5 av 53 uppsatser innehållade orden stock preferences.
1. Kapitalstrukturens utveckling i svenska fastighetsbolag En beskrivande analys av utvecklingen av kapitalstrukturen hos 20 svenska börsnoterade fastighetsbolag.
Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionenSammanfattning : This quantitative study aims to describe the development of the capital structure within Swedish real estate companies that are listed on the stock exchange. The study consists of 20 companies who each have been individually analyzed over the years 2006 to 2022 and grouped based on similar developments. LÄS MER
2. EXPLORING THE RELATIONSHIP BETWEEN ESG DISAGREEMENT AND STOCK RETURNS - AN EMPIRICAL ANALYSIS
Master-uppsats, Göteborgs universitet/Graduate SchoolSammanfattning : During the recent years investors shifted their preferences towards sustainable stocks and funds, increasing the importance of Environmental, Social and Governance ratings. At a similar pace the related literature started to develop shedding light on some crucial aspects of the ESG ratings, such as the disagreement between rating agencies and the lack of common methodologies to assess the ratings. LÄS MER
3. Sambandet mellan aktieutdelning och antal aktieägare : En empirisk undersökning av svenska företag
Kandidat-uppsats, Uppsala universitet/Företagsekonomiska institutionenSammanfattning : This study examines the potential relationship between companies' adaptation to shareholders' preferences for dividends in SEK and the number of shareholders, as well as whether this relationship varies across different age groups. Previous research has explored individuals' preferences for dividends and potential age-related differences in these preferences. LÄS MER
4. Robust Portfolio Optimization
Kandidat-uppsats, KTH/Skolan för teknikvetenskap (SCI)Sammanfattning : The objective of robust portfolio optimization is to find a way to allocate capital to some financial assets such that portfolio return is maximized in the worst-case scenario, which is desirable for investors with a low tolerance for risk. This study aims to apply the robust approach to asset allocation based on 30 of the biggest stocks on the Stockholm Stock Exchange. LÄS MER
5. ESG och Marknadsvärde : En kvantitativ tvärsnittsstudie om sambandet mellan hållbarhet och marknadsvärde inom Skandinaviens industrisektor
Kandidat-uppsats, Södertörns högskola/FöretagsekonomiSammanfattning : Med en växande efterfråga efter hållbarhet är förhållandet mellan environmental, social & governance (ESG) och företagsprestanda ofta föremål för forskning. Forskningen om detta ämne har dock hittills inte varit entydig. LÄS MER