Essays about: "Residual risk"

Showing result 16 - 20 of 61 essays containing the words Residual risk.

  1. 16. Effect of post-treatment of cemented carbide : Microstructural investigation and evaluation of mechanical properties of cemented carbide inserts for rock tool applications

    University essay from Karlstads universitet/Avdelningen för maskin- och materialteknik

    Author : Jessica Jacobs; [2021]
    Keywords : ;

    Abstract : Cemented carbides are used in rock tool applications by reason of their beneficial mechanical properties, i.e. a combination of high toughness, wear resistance and hardness. The cemented carbides commonly receive their hardness from tungsten carbides (WC) whereas cobalt (Co) is the dominating binder material. READ MORE

  2. 17. Permanent magnet synchronous machine using ferrite vs rare earth magnets : how do they compare?

    University essay from KTH/Skolan för elektroteknik och datavetenskap (EECS)

    Author : Nikhil Manakshya; [2021]
    Keywords : Vehicle requirement; drive cycle; ferrite magnet; demagnetisation; environmental impact.; Fordonsbehov; körcykel; ferritmagnet; avmagnetisering; miljöpåverkan.;

    Abstract : Permanent magnet synchronous machines (PMSM are considered as viable options for automotive and traction applications. Rare earth magnets such as Neodymium Iron Boron (NdFeB is the most common choice in the PMSM for electric vehicles to achieve high power density machines. READ MORE

  3. 18. Bankruptcy Risk and Market Rationality During Covid-19: Swedish Evidence

    University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi; Handelshögskolan i Stockholm/Institutionen för redovisning och finansiering

    Author : Leo Allebeck; Andre Lagerkvist; [2021]
    Keywords : Bankruptcy risk; Market rationality; Covid-19; Residual income valuation; Accounting based bankruptcy prediction;

    Abstract : Purpose: To examine the changes in bankruptcy risk that occurred during the beginning of the Covid-19 pandemic for companies listed on Nasdaq Stockholm, and to test market rationality regarding i) the changes in bankruptcy risk, ii) the equity risk premium associated with bankruptcy risk in the 1-year period after the market trough. Method: Bankruptcy risk is estimated with the Skogsvik (1990) model and a bankruptcy risk calibrated Residual Income Valuation model. READ MORE

  4. 19. A European CSR study about the deviation of valuation

    University essay from Umeå universitet/Företagsekonomi

    Author : Pontus Persson; Tatiana Dykina; [2021]
    Keywords : “ESG”; “sustainability”; “CSR”; “Market value”; “intrinsic value”; “Beta”; “CAPM”; “Cost of Equity”; “residual earning”;

    Abstract : For the last decades, public authorities and private firms have emphasized their focus on integrating sustainability into corporate disclosure. The shift towards CSR instead of the traditional profit maximization narratives is evident in increased demand among various stakeholders for sustainability awareness. READ MORE

  5. 20. The Evolution of Swedish Private Equity Portfolio Companies: An Accounting-Based Performance and Valuation Approach

    University essay from Handelshögskolan i Stockholm/Institutionen för redovisning och finansiering

    Author : Markus Bauer; Timo Bosselmann; [2021]
    Keywords : Private Equity; Portfolio Company; Residual Income Valuation; Performance; Accounting Conservatism;

    Abstract : This study provides a comprehensive overview of operating and financial performance, bankruptcy risk, and accounting conservatism in 95 Swedish portfolio companies acquired by Private Equity (PE) firms between 2001 and 2015. It further investigates whether equity value is created on a Swedish portfolio company level. READ MORE