Sökning: "surplus value"
Visar resultat 1 - 5 av 107 uppsatser innehållade orden surplus value.
1. Deadstock-textilier: En analys av dess hållbarhetspotential och strategiska värde för företag
Kandidat-uppsats, Göteborgs universitet/Företagsekonomiska institutionenSammanfattning : The textile fashion industry has a significant environmental impact. The industry accounts for 10% of the world's total carbon dioxide emissions and also leads to other negative environmental impacts. To adapt to environmental goals, including achieving the 1.5-degree target presented by the IPCC, the industry must undergo changes. LÄS MER
2. Maximizing the Value of Large-Scale Solar PV Parks through Battery Storage and Ancillary Services : An analysis using multiple-integer linear programming optimization
Uppsats för yrkesexamina på avancerad nivå, Uppsala universitet/Byggteknik och byggd miljöSammanfattning : Renewable power production is becoming a necessity to improve society and overcome the challenges of climate change. In Sweden, large-scale solar PV power is growing year-on-year and today comprises 1 percent of electricity production. LÄS MER
3. Possibility for Positive Energy Retrofit in Borlänge
Magister-uppsats, Högskolan Dalarna/Institutionen för information och teknikSammanfattning : The built environment accounts for 40% of annual carbon dioxide (C02) emissions. Among the total emissions, building operations generate approximately 27% annually. Other than this, building materials, infrastructural materials, and construction (embodied carbon) contribute to an additional 13% annually [1]. LÄS MER
4. Extracting Growth Expectations from Financial Markets: An Investigation into the Dividend Market Dynamics
D-uppsats, Handelshögskolan i Stockholm/Institutionen för nationalekonomiSammanfattning : Dividend futures, reflecting the economic surplus, can be used as a forecasting tool for dividend and GDP growth. Building on prior research, I broaden the scope of analysis by encompassing a range of countries and evaluate the impact of shocks such as a military conflict on dividend and GDP growth expectations. LÄS MER
5. Navigating the Volatility Adjustment in Solvency II : Portfolio Optimization for Balance Sheet Stability
Uppsats för yrkesexamina på avancerad nivå, Umeå universitet/Institutionen för matematik och matematisk statistikSammanfattning : This thesis investigates volatility adjustment from the Solvency II regulation and portfolio allocation methods for pension- and life insurance companies aiming to maintain a stable balance sheet. The volatility adjustment is a component added to the risk-free rate for discounting the present value of future liabilities, and it is calculated monthly based on the spread levels in the fixed-income market. LÄS MER