Essays about: "thesis title in financial management"

Showing result 21 - 25 of 41 essays containing the words thesis title in financial management.

  1. 21. SHAPE ME UP! : A study of how leaders in the Swedish financial sector can use their personal brand to shape the corporate brand.

    University essay from Sektionen för ekonomi och teknik (SET)

    Author : Amanda Elg; My Engdahl; [2013]
    Keywords : Leadership; personal brand; corporate brand; Ledarskap; personligt varumärke; företagsvarumärke;

    Abstract : Title                                 Shape me up! – A study of how leaders in the Swedish financial sector can use their personal brand to shape the corporate brand Course                             Master Thesis (60 credits) in Business Administration; Strategic Management and Leadership, International Marketing Authors                           Amanda Elg and My Engdahl Supervisors                      Maya Hoveskog and Ingemar Wictor Keywords                        Leadership, personal brand, corporate brand Problem formulation       ”How can a leader in the Swedish financial sector use the personal brand to shape the corporate brand?” Purpose                            The aim of this study is to describe the importance of the leader’s personal brand within the Swedish financial sector. Further, this study aims to explore how the personal brand of a leader can contribute to shape the corporate brand from an internal perspective, in aspects such as organisational culture and visions. READ MORE

  2. 22. Target Costing i Large Cap : -

    University essay from Ekonomihögskolan, ELNU

    Author : Mohammad Reza Akhbari; Eric Wennberg; [2012]
    Keywords : Target costing; cost management; product development; dysfunctional behaviors; performance result; success factors; dynamic capabilities; Large Cap; Target Costing; Cost Management; produktutveckling; dysfunktionella beteenden; prestationsresultat; framgångsfaktorer; dynamisk kapabilitet; Large Cap;

    Abstract : Master Thesis G3 in Business Administration, Business School at Linnaeus University, Management Control, 4FE90E, Spring 2012 Authors: Mohammad Akhbari och Eric Wennberg Tutor: Jan Alpenberg Title: Target Costing in Large Cap Background and problem formulation: Since the 1980s, the product of the company has become increasingly important, because of increased competition and rapid technological development. To succeed in the Product development, “Target Costing” can be used as an important financial tool to calculate costs based on an established price and profit margin. READ MORE

  3. 23. Mark-to-Model - An Explanation of the Choice and Relative Use

    University essay from Lunds universitet/Företagsekonomiska institutionen

    Author : Mikael Svensson; Alexander Wingren; [2012]
    Keywords : Financial Instruments; Mark-to-model; Fair value accounting; Level 3 and IFRS 7; Business and Economics;

    Abstract : Title: Mark-to-Model – An Explanation of the Choice and Relative Use Seminar Date: 2012-05-31 Course: BUSN69, Degree Project – Accounting and Auditing. Master of Science in Business and Economics, 15 ECTS. READ MORE

  4. 24. Client Information Needs of MFIs : A Case Study of ASA Bangladesh

    University essay from Blekinge Tekniska Högskola/Sektionen för management

    Author : Juber Ahmed; [2010]
    Keywords : Client; Information; Microfinance; Microcredit; Savings; Client Assessment; Client Assessment Tools; MIS; Microfinance Institution; NGO; Bangladesh; ASA; Client Intelligence ;

    Abstract : Abstract Title: Client Information Needs of MFIs: A Case Study of ASA Bangladesh Author: Juber Ahmed Academic Advisor: Dr. Klaus Solberg Søilen Department: School of Management, Blekinge Institute of Technology Course: Master Thesis in Business Administration Purpose: To enrich the knowledge base of client’s needs of financial services and assessing the tools MFIs used to collect clients’ information and how they utilized the information for developing new products and services or modifying existing products and services or their terms and conditions to meet the needs of financial services of their clientele. READ MORE

  5. 25. Measuring and handling risk : How different financial institutions face the same problem

    University essay from Akademin för hållbar samhälls- och teknikutveckling

    Author : Sarah Rörden; Kristofer Wille; [2010]
    Keywords : Risk variables; Risk measurement; Risk management; Modern Portfolio Theory; Diversification; Beta;

    Abstract : 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