Essays about: "Portfolio performance"

Showing result 31 - 35 of 506 essays containing the words Portfolio performance.

  1. 31. Stochastic Optimization of Asset Management Project Portfolios: A Risk-Informed Approach

    University essay from KTH/Matematik (Avd.)

    Author : Sebastian Persson; Niklas Hansson; [2023]
    Keywords : Nuclear asset management; Risk-informed asset management; Portfolio optimization; Project selection; Knapsack problem; Monte Carlo simulation; Conditional Value at Risk; Tillgångsförvaltning; Riskinformerad tillgångsförvaltning; Portföljoptimering; Projekturval; Kappsäcksproblem; Monte Carlo simulering; Conditional Value at Risk;

    Abstract : Asset management within the nuclear industry has become an increasingly relevant topic as safety requirements have tightened and energy security has become more important. Asset management ensures performance and reliability in a nuclear facility by balancing costs, opportunities, and risks to get the most out of assets. READ MORE

  2. 32. The level of ownership held by PE firms : The impact on underpricing at IPO and performance post-IPO

    University essay from Umeå universitet/Företagsekonomi

    Author : Julia Berglund; Viktor Granelli; [2023]
    Keywords : Private Equity; IPO; Underpricing; Long-run Performance; Ownership Structure; Retained Ownership;

    Abstract : This study examines the specific ways in which private equity firms influence their portfolio companies to enhance their value, with a focus on the relationship between the level of retained ownership and post-IPO performance. Private Equity firms influence their portfolio companies in specific ways to enhance their value. READ MORE

  3. 33. Sustainable investing in the Nordics : A comparative analysis of ESG portfolios

    University essay from Umeå universitet/Företagsekonomi

    Author : Linus Gustavsson; Marcus Andersson; [2023]
    Keywords : ESG rating; ESG investing; Factor investing; Nordic ESG financial performance; sustainable finance;

    Abstract : Sustainability has become a pressing global issue due to environmental and social challenges caused by human activity which has led to a rise in sustainable investing, including ESG investing. Research on financial performance and sustainable investing have not only showed mixed results, but they are also generally conducted in greater markets such as the US, Europe, and Asia-pacific markets. READ MORE

  4. 34. Economic Policy Uncertainty and Stock Market Performance: The Role of CSR

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

    Author : Albin Hammarberg; Victor Möller; [2023]
    Keywords : Economic Policy Uncertainty; Corporate Social Responsibility; Capital Asset Pricing Model; Fama French Three Factor Model; Stock Market Returns;

    Abstract : This research study aims to examine the association between economic policy uncertainty (EPU) and stock market performance, and to investigate whether corporate social responsibility (CSR) has an impact on this relationship. The dataset used in this study comprises firms listed on the S&P 500 index from 2013 to 2022 and is applied on two models, the Capital Asset Pricing Model and Fama French Three Factor Model. READ MORE

  5. 35. Operational resilience strategies in times of global disruptions : A study of a Swedish national energy company

    University essay from KTH/Skolan för industriell teknik och management (ITM)

    Author : Gustav Lindstrand; Anna Oldestam; [2023]
    Keywords : operational resilience; procurement strategy; supply chain disruptions.; operational resilience; inköpsstrategi; supply chain disruptions.;

    Abstract : This study investigates strategies for improving the operational resilience, i.e. an organisation’s capacity to minimise, manage, and recover from disruptions quickly, ensuring continuity in its primary business processes. READ MORE