Blar i Master Thesis på tittel
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Optimal Allocation of Norwegian Offshore Wind Power : A Copula Approach : How can a thoughtful placement of offshore wind parks reduce variability in production output?
(Master thesis, 2023)This thesis investigates how to optimize stable wind production along the coast of Norway. The research is carried out by studying how well a compound dependency model, consisting of a time series and copula model, for ... -
Optimal bets in oil-related stocks: a quantitative approach
(Master thesis, 2015)This thesis examines how implied cost of equity from fundamental valuations affect optimal allocation for a marginal investor, net of costs. We find Black- Litterman long-only restricted portfolio incorporating implied ... -
Optimal forsikringsportefølje for Frende Skadeforsikring : kan en optimal sammensetning av forsikringsbransjer bedre egenkapitalavkastningen?
(Master thesis, 2020)Denne masterutredningen undersøker om egenkapitalavkastningen til skade- og helseforsikringsporteføljen til Frende Skadeforsikring øker ved utnyttelse av en optimeringsmodell som opprinnelig brukes i aksjemarkedet. Vi ... -
Optimal investment conditions for electrification of Edvard Grieg : a discrete dynamic programming approach
(Master thesis, 2014)This thesis investigates the optimal investment conditions for switching the Edvard Grieg field from traditional power generation methods (gas turbines) to electrical power from shore. By interpreting this problem as a ... -
Optimal kapitalstruktur basert på strukturelle kredittrisikomodeller
(Master thesis, 2006)I denne masteroppgaven finner vi optimal kapitalstruktur og yield spread basert på strukturelle kredittrisikomodeller. Først utleder vi en benchmarkmodell med Leland (1994)som utgangspunkt, hvor vi tar hensyn til ... -
Optimal kapitalstruktur for en bank : analyse av to strukturelle kredittmodeller
(Master thesis, 2018)Denne studien tar for seg to ulike kapitalstrukturmodeller, utviklet av henholdsvis Leland (1994) og Atreya, Mjøs og Persson (2016). Hovedfokuset er rettet mot å avdekke en optimal kapitalstruktur for en bank, og hvordan ... -
Optimal merkestrekk for TineMelk : en studie av hvor langt TineMelk kan strekkes uten at det går på bekostning av kjerneassosiasjonene
(Master thesis, 2015)Formålet med denne studien var å undersøke hvor langt TineMelk kan strekkes uten at det går på bekostning av kjerneassosiasjonene sunn, ekte og naturlig. Bakgrunnen for studien er at vi ikke så et tydelig skille mellom ... -
Optimal merverdibeskatning av mediemarkeder: en tosidig analyse
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Optimal risk sharing : expected utility theory versus the dual theory of choice under risk
(Master thesis, 2018)An introduction to the dual theory of choice under risk is given. Optimal risk sharing under both expected utility theory and the dual theory of choice under risk is reviewed. Central results to insurance in pure demand ... -
Optimal Scheduling of Nursing Shifts : A Case Study on Work Scheduling at Haukeland University Hospital
(Master thesis, 2022)This thesis presents a nurse scheduling problem tailored to characteristics common of Norwegian hospitals. The problem involves allocating nurses to specific shifts to ensure coverage of demand, while respecting work ... -
Optimal tilpasning til nye bankreguleringer - En analyse av optimal balansestruktur i Sparebanken Vest
(Master thesis, 2014)Finanskrisen avdekket svakheter og mangler ved den gjeldende reguleringen av bankene. Ut av denne blottgjøringen har det kommet en rekke nye reguleringer og direktiver bankene må forholde seg til. De siste årene har ... -
Optimal utlånsfordeling : en analyse av utlånsfordelingen i person- og bedriftsmarkedet for Voss Sparebank
(Master thesis, 2016)De siste årene har utlån til personmarkedet økt til fordel for en reduksjon av utlån i bedriftsmarkedet i den norske banksektoren. Ifølge banknæringen skyldes dette strenge reguleringer og høye kapitaldekningskrav som ... -
Optimisme blant boligkjøpere : var boligkjøpere for optimistiske i 2015?
(Master thesis, 2016)Denne masteroppgaven omhandler boligkjøperes oppfatning av boligmarkedet gjennom året 2015, hvor fokuset var optimisme. Vi valgte året 2015 da oljeprisen falt kraftig i perioden 2014 til 2015, samtidig som boligprisene ... -
Optimization and cost allocationin collaborative transportation : potential savings and decreased co2 emissions from optimized collaboration in fuel distribution in Norway
(Master thesis, 2020)The purpose of this study is to find potential savings and potential reduction in CO2 emission from an optimized collaboration in distributing fuel in Norway, from fuel depots to gas stations, compared to a non-collaborative ... -
Optimization Models for Collaborative Vessel Allocation : A Computational Study of How Collaboration Between Shipping Companies Can Reduce Fuel Costs and CO2 Emissions
(Master thesis, 2023)Transportation by sea entails costs for shipping companies as well as emissions that contributes to the challenges regarding global warming. A variety of approaches can be implemented in order to facilitate reductions ... -
Optimizing Charging Strategies for Electric Vehicle Owners: A Comparison of Charging Strategies to Schedule Optimal Home Charging
(Master thesis, 2022)The rapid growth in the Norwegian electric vehicle market has put Norway in a unique position as the leading country in electric vehicle adoption. With few challenges in the establishment of charging infrastructure, most ... -
Optimizing the economic value of offshore wind resources: A bottom-up valuation of an offshore wind farm, coupled with hydrogen production and energy storage
(Master thesis, 2021)In this thesis, we analyze a hypothetical offshore wind farm placed off the southwestern coast of Norway. To maximize the economic value, we examine four different scenarios to best use the electricity generated from the ... -
Option implied risk aversion
(Master thesis, 2012)Risk aversion has been empirically estimated using different equilibrium models [Hansen and Singleton (1982, 1983), Mehra and Prescott (1985)]. However, the results are controversial. Jackwerth (2000) and Ait-Sahalia and ... -
Option volume and evidence of informed trading : an empirical study of daily option trading volume from selected S&P500 companies in the period 2009 to 2014.
(Master thesis, 2017)This thesis seeks to unveil evidence of informed trading in option markets. We use unsigned option volume data to construct a signed modified put call ratio, which is used to analyze unusual trading patterns prior to ...