Essays about: "finansiell faktor"

Showing result 1 - 5 of 13 essays containing the words finansiell faktor.

  1. 1. Trends in the Capital Structure and Risk Assessment of Swedish Real Estate Companies : A Study on the Impact of the 2022-2023 Shift in Interest Rates

    University essay from KTH/Fastighetsföretagande och finansiella system

    Author : Karolina Landgärds; Hanna Lövgren; [2023]
    Keywords : Real estate; Capital structure; Financial risk; Interest rate risk; Fastigheter; Kapitalstruktur; Finansiell risk; Ränterisk;

    Abstract : This study aims to analyse the changes in the capital structure of Swedish real estate companies over the past five years, with a particular focus on the period 2022-2023, characterised by the policy interest rate increasing from zero to 3.5 percent. READ MORE

  2. 2. Underground Thermal Energy Storage for District Heating : A Feasibility Study

    University essay from KTH/Hållbar utveckling, miljövetenskap och teknik

    Author : Emma Arnfelt; [2022]
    Keywords : ;

    Abstract : Global warming is one of the largest challenges and most important issues within the energy sector. As the society’s demand for energy increases, the environmental impact must continue to decrease to reach global targets. READ MORE

  3. 3. Electricity Consumption of a Distributed Consensus Algorithm

    University essay from Lunds universitet/Institutionen för elektro- och informationsteknik

    Author : Wilhelm Wanecek; [2021]
    Keywords : Energy efficiency; Payment systems; Stellar; Consensus algorithm; Digital currencies; Technology and Engineering;

    Abstract : The colossal electricity consumption of proof-of-work cryptocurrencies such as Bitcoin and Ethereum has caused critical examination of how consensus in blockchain-solutions is designed. Stellar is a decentralized, open-membership payment network built on blockchain technology, with the goal of enabling money to flow between banks, businesses and people across the global financial infrastructure, while minimizing latency and transaction fees. READ MORE

  4. 4. Debt Portfolio Optimization at the Swedish National Debt Office: : A Monte Carlo Simulation Model

    University essay from KTH/Matematisk statistik

    Author : Felix Greberg; [2020]
    Keywords : Public Debt Management; Financial Mathematics; Portfolio Optimization; Ornstein–Uhlenbeck; Vector Autoregression; Term Structure Evolution; Nelson-Siegel; R; Monte Carlo simulation; Skuldförvaltning; Finansiell matematik; Portföljoptimering; Ornstein–Uhlenbeck; Vector autoregression; Ränteutvecklingsmodeller; Nelson-Siegel; R; Monte Carlo-simulering;

    Abstract : It can be difficult for a sovereign debt manager to see the implications on expected costs and risk of a specific debt management strategy, a simulation model can therefore be a valuable tool. This study investigates how future economic data such as yield curves, foreign exchange rates and CPI can be simulated and how a portfolio optimization model can be used for a sovereign debt office that mainly uses financial derivatives to alter its strategy. READ MORE

  5. 5. E, S or G? A study of ESG scoreand financial performance

    University essay from KTH/Industriell ekonomi och organisation (Inst.)

    Author : YRR AHLKLO; CARIN LIND; [2019]
    Keywords : ESG score; financial performance; regression; return; firm value; sustainable; ESG; finansiell lönsamhet; avkastning; regressionsanalys; hållbara investeringar; rörelsevärde; CSR; Intressentmodellen;

    Abstract : Sustainability is not a new concept to the financial markets, but its popularity and wider use have increased as people have grown more concerned about the future of this planet. However, the relationship between sustainable investments and financial performance is not clear. READ MORE