Essays about: "for research methodology in bank"
Showing result 16 - 20 of 59 essays containing the words for research methodology in bank.
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16. A case study in consolidating the loss structure of different manufacturing sectors under lean context
University essay from Lunds universitet/ProduktionsekonomiAbstract : In the light of lean methodology, World Class Manufacturing requires continuous improvement in analyzing the losses to eliminate the wasteful resources and to boost the overall productivity. However, the standardized loss structure should be well-balanced to be general enough to cover the whole manufacturing procedure while being specific enough to point out the real issues happening for further improvement. READ MORE
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17. Digitalization in The Banking Industry : Adapting to The Crisis
University essay from Umeå universitet/FöretagsekonomiAbstract : Research problemThe world is currently undergoing one of the most substantial crises of the past century, causing disruption both socially and economically. The effect on the Swedish inhabitants has been impactful, especially for elders, who are crippled in the ability to complete necessary tasks including private banking. READ MORE
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18. Digitalization Strategies in the Banking Industry : A study among Swedish banks
University essay from Umeå universitet/FöretagsekonomiAbstract : Problem The banking industry is changing with new technologies and the financial sector is exposed to the strong pressure of change. All this appearing as a result of the ongoing digitalization. Purpose The purpose of this thesis is to gain a deeper understanding of how Swedish banks internally work with digitalization. READ MORE
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19. Comparing methods for identifying G-SIBs in Europe
University essay from Göteborgs universitet/Graduate SchoolAbstract : The extra loss absorbency requirement for global systemically important banks (G-SIBs) is one of the macroprudential reforms in Basel III aimed at lowering the systemic risk in the financial system. Systemic risk is difficult to define and measure and academics have proposed alternative ways to measure banks' systemic importance. READ MORE
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20. Interest Rate Sensitivity of Real Estate Companies Income Statements
University essay from Lunds universitet/Företagsekonomiska institutionenAbstract : Title: Interest Rate Sensitivity of Real Estate Companies’ Income Statements - A Study on the Swedish Market in a Low Rate Environment Seminar date: 11th of January 2018 Course: FEKH89, Bachelor Degree Project in Financial Management, Undergraduate Level Authors: Karl Ågren, Samuel Hammarling and Sebastian Lindeborg Advisor: Anamaria Cociorva Key words: Real estate companies, repo rate, income statement sensitivity, pricing of debt, mixed methods research Purpose: The purpose of this study is to empirically investigate the sensitivity of Swedish real estate companies’ income statements towards a 100 basis point increase in the Riksbank’s repo rate. Methodology: A mixed methods research approach is employed. READ MORE