Blar i School of Business and Law på dokumenttype "Master thesis"
Viser treff 1-20 av 1714
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2010, 2011, 2012? : ein stokastisk analyse av framdriftsplanen for teater- og konserthus for Sørlandet
(Master thesis, 2006)Denne rapporten omhandlar begrepet usikkerheit i framdriftsplanleggjing av prosjekt. Byggeprosjektet ”Teater- og Konserthus for Sørlandet” er eit prestisjeprosjekt som når resultatet blir overlevert, blir ei realisering ... -
25 år siden Kyotoprotokollen - hva har skjedd?
(Master thesis, 2022)Denne studien har valgt åtte selskap som opererer i energi-, ressurs og utslippsintensive sektorer og vurdert deres bærekraftrapportering i en tidsperiode fra 1997 til 2020. Hensikten med studien er å undersøke om funnene ... -
25 år siden Kyotoprotokollen - hva har skjedd?
(Master thesis, 2022)Denne studien har valgt åtte selskap som opererer i energi-, ressurs og utslippsintensive sektorer og vurdert deres bærekraftrapportering i en tidsperiode fra 1997 til 2020. Hensikten med studien er å undersøke om funnene ... -
A Behavioural Mean – Expected Shortfall Solution to the Asset Allocation Puzzle and the Time Diversification Puzzle
(Master thesis, 2018)Konfidensiell til / confidential until 01.01.2024 -
A Comparative Analysis of Alternative Portfolio Insurance Strategies
(Master thesis, 2018)Literature within the field of Portfolio Insurance (PI) provides no clear evidence for or against the usefulness of implementing PI strategies. The goal of this thesis is to investigate the real- life performance, using ... -
A Comparative Analysis of Micro Finances: An Economic Impact of Micro Finance upon Income Level of People in Kavrepalanchok District, Nepal
(Master thesis, 2016)Micro Finance, one of the essential banking services providing institution has a major contribution upon the economic development of people and nation. It targets mostly to low income generating people and assist them ... -
A comparative study of volatility forecasting models
(Master thesis, 2014)The purpose of this thesis is to investigate which of the selected models that forecasts the out-of-sample volatility most accurate and to see if the regression based models can outperform the historical volatility models. ... -
A comparison of volatility prediction between ARIMA-GARCH and VAR models
(Master thesis, 2015)In this thesis the authors use ARIMA-GARCH and VAR to predict future volatility of 6 macroeconomic variables from the US. The data is monthly and spans the period 1964-2014, where the last 20 years are used as the ... -
A Cost Analysis on Reablement in the Municipality of Kristiansand
(Master thesis, 2019) -
A Hybrid Model for Analyzing the Effect of the Carbon Border Adjustment Mechanism on the Historical Volatility of the EU ETS
(Master thesis, 2024)The 1st of October 2023 the Carbon Boarder Adjustment Mechanism (CBAM) transitional phase began. The CBAM is a tool created by the European Union (EU) to reach the target of 55% reduction in greenhouse gas emission levels ... -
A Hybrid Model for Analyzing the Effect of the Carbon Border Adjustment Mechanism on the Historical Volatility of the EU ETS
(Master thesis, 2024)The 1st of October 2023 the Carbon Boarder Adjustment Mechanism (CBAM) transitional phase began. The CBAM is a tool created by the European Union (EU) to reach the target of 55% reduction in greenhouse gas emission levels ... -
A Re-Examination of Performance of Optimized Portfolios
(Master thesis, 2017)DeMiguel, Garlappi, and Uppal (2009) conducted a study demonstrating that meanvariance optimized portfolios do not consistently outperform the naive diversi cation strategy in out-of-sample tests. This caused a heated ... -
A Reexamination of Time-Varying Stock Return Predictability
(Master thesis, 2019)In predicting stock market returns, academic research has had its primary focus onmacroeconomic variables, and less attention has been paid towards technical indicators.The evidence of the stock return predictability is ... -
A resource-based perspective on corporate environmental performance and profitability in the luxury fashion industry
(Master thesis, 2017)The purpose of this study is to analyse if there is a positive relationship between corporate environmental performance and profitability in the luxury fashion industry. Using a multiple regression analysis on data from ... -
A Strategic Analysis & Fundamental Valuation of SalMar ASA
(Master thesis, 2017)This master thesis, in the field of Management Accounting and Financial Economics, was written with the purpose of finding the intrinsic value of SalMar ASA’s equity at 31.12.2015. The price per share of SalMar was 155.00 ... -
A study of active ownership through board representation by norwegian private equity actors in the norwegian population of portfolio company investments
(Master thesis, 2013)This thesis focuses on the indirect drivers of value creation in private equity, through a study of corporate governance mechanisms employed by the major Norwegian PE actors in a population of Norwegian portfolio company ... -
A study of language effects on inward FDI flows in Southeast Asia
(Master thesis, 2019)This master thesis explores how language might affectthe yearly flow of foreign direct investment (FDI) towards five Southeast Asian countries: Indonesia, Malaysia, Philippines, Singapore and Thailand. This is aresearch ... -
A study of manhour overruns in projects : identifying main contributors to manhour overruns in projects
(Master thesis, 2014)Project manhour overrun is a common issue in all type of projects, particularly in large complex projects in the construction industry. General data on manhours and costs used in projects is available in companies’ databases, ... -
A study of the PIMS Cost Management Module
(Master thesis, 2015)Working with cost management in complex projects in today’s society is a comprehensive task. The need for supporting tools is therefore increasing, where specific tools like Project Management Information Systems (PMIS) ... -
A study of the relationship between U.S. stock market returns and the political environment
(Master thesis, 2013)This master’s thesis examines the relationship between the political environment and the stock market returns. The main focus is whether there are differences in the stock market returns under different political parties, ...