Essays about: "Kapitalförvaltning"
Showing result 11 - 14 of 14 essays containing the word Kapitalförvaltning.
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11. Implementation of Reliability Centered Asset Management method on Power Systems
University essay from KTH/Skolan för elektro- och systemteknik (EES)Abstract : Asset management is getting increasingly important in nearly all fields, especially inthe electric power engineering. It is mainly due to the following two reasons. First isthe high investment cost include the design cost, construction cost, equipment costand the high maintenance cost. READ MORE
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12. The Italian Asset Management market from an Asset Servicer’s perspective
University essay from KTH/Fastigheter och byggandeAbstract : The asset management industry constitutes a vital part of the economy thanks to its financing role. The sector has profoundly changed since its establishment and, nowadays, changes in organization, investors’ behaviour and regulatory framework are deeply reshaping the industry. READ MORE
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13. Communicating criteria
University essay from SLU/Dept. of EconomicsAbstract : In the light of the criticism from the Swedish Consumers’ Association towards the actions of modern fund managers on the Swedish Sustainable and Responsible Investment (SRI) market, discussions of change has increased. The reasons underlying a change and communication process are scarcely focused on. READ MORE
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14. Measuring and handling risk : How different financial institutions face the same problem
University essay from Akademin för hållbar samhälls- och teknikutvecklingAbstract : Title: Measuring and handling risk - How different financial institutions face the same problem Seminar date: 4th of June, 2010 Level: Bachelor thesis in Business Administration, Basic level 300, 15 ECTS Authors: Sarah Rörden and Kristofer Wille Supervisor: Angelina Sundström Subject terms: Risk variables, Risk measurement, Risk management, Modern Portfolio Theory, Diversification, Beta Target group: Everyone who has basic knowledge of financial theories and risk principles but lacks the understanding of how they can be used in risk management. Purpose: To understand the different Swedish financial institutions’ way of handling and reducing risk in portfolio investing using financial theories. READ MORE