Essays about: "analysis variance"
Showing result 16 - 20 of 510 essays containing the words analysis variance.
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16. A Causal Analysis of Cat Bond Markets
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : This work is a contribution to the causal analysis of the catastrophe bond market, which has generated high excess returns over the last two decades. Since these excess returns remain partially unexplainable and the interest in catastrophe bonds is increasing, the causal study of the factors affecting their premiums is of high relevance. READ MORE
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17. Comparison of Output Decoding Techniques for Spiking Neural Networks
University essay from KTH/Skolan för elektroteknik och datavetenskap (EECS)Abstract : Spiking Neural Networks (SNNs) hold significant potential due to their high energy efficiency when implemented on specialized hardware. Central to SNNs is the translation of sequences of spike events to concrete outputs, like class predictions. READ MORE
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18. A Regression Analysis of the Parameters Influencing the Share Price During the First Day After an IPO
University essay from KTH/Matematisk statistikAbstract : This study focuses on initial public offerings (IPOs), which are the process of making a company's shares available for public trading on a stock market. Despite global uncertainties in recent years, there has been a high demand for company listings in the market. READ MORE
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19. Perceived Parental Engagement and Coach Support by Adolescents Within Organized Sportsand the Association with Positive Psychological and Behavioral Outcomes
University essay from Örebro universitet/Institutionen för beteende-, social- och rättsvetenskapAbstract : The aim of this study was to better understand how the supportive role from coaches and engagement from parents is associated the behavioral and psychological outcomes for adolescents participating in organized sports. Behavioral adjustments were defined as youth delinquency and psychological outcomes as depressive symptoms and subjective well-being. READ MORE
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20. Navigating the Volatility Adjustment in Solvency II : Portfolio Optimization for Balance Sheet Stability
University essay from Umeå universitet/Institutionen för matematik och matematisk statistikAbstract : This thesis investigates volatility adjustment from the Solvency II regulation and portfolio allocation methods for pension- and life insurance companies aiming to maintain a stable balance sheet. The volatility adjustment is a component added to the risk-free rate for discounting the present value of future liabilities, and it is calculated monthly based on the spread levels in the fixed-income market. READ MORE