Blar i Master Thesis på tittel
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Lightweight IT investments: Factors influencing Profitability: A study of how IT implementation influence profitability in Norwegian companies
(Master thesis, 2021)Several projects are underperforming due to a lack of return from IT investments, resulting in low profitability. The thesis seeks to uncover whether the absence of value creation applies today and for investments in ... -
Like miljøbevisst når ingen ser deg? En eksperimentell studie av kasseløsningers effekt på kjøp av bærekraftige produkter i dagligvarehandelen
(Master thesis, 2022)Formålet med denne studien har vært å undersøke effekten selvbetjente kasser har på salg av bærekraftige produkter i dagligvarehandelen i Norge. Tidligere litteratur tilsier at bruk av selvbetjente kasser kan endre ... -
Likelihood of Arrests for Violent Crime Incidents in America: An exploratory study using logistic regression and random forest methods
(Master thesis, 2021)The use of policing algorithms to predict for arrest is rising in America. However, research indicates that these algorithms may be biased against certain populations. These false perceptions of who commits these crimes, ... -
Likviditeten i det norske obligasjonsmarkedet under Covid-19 : en studie av likviditetsendringer og Statens obligasjonsfonds rolle i markedet
(Master thesis, 2021)Hensikten med denne oppgaven er å undersøke likviditetsendringene i det norske obligasjonsmarkedet som følge av koronapandemien og hvilken rolle Statens obligasjonsfond har spilt i markedets bedring. Vi estimerer spreader ... -
Likviditetseffekter av kredittvurderinger : en studie av det norske markedet
(Master thesis, 2011)Masteroppgaven undersøker i hvilken grad kredittvurderingene til kredittbyråene S&P og Moody’s påvirker likviditeten til 12 selskaper på Oslo Børs. Først diskuteres kredittbyråenes funksjon og rolle samt forhold som kan ... -
Likviditetsforklarende forhold og implikasjoner for selskaper i Skandinavia
(Master thesis, 2009)Denne studien er en empirisk analyse av kontantnivået i skandinaviske selskaper. Forhold som kan forklare kontantnivået blir identifisert på grunnlag av teori og videre analysert for å bekrefte sammenhenger. Studien ... -
Likviditetsstyring i Hansa Borg bryggerier ASA
(Master thesis, 2007)Vi har i denne masteroppgaven sett på hvordan Hansa Borgs likviditetsstyring fungerer i dag, analysert deres mål, interne og eksterne kritiske suksessfaktorer og de prosessene vi mener er viktigst for likviditetsstyring. ... -
Likviditetsstyring og kapitalforvaltning i Flyktninghjelpen: tiltak for bedret forutsigbarhet gjennom å sentralisere overskuddslikviditet og effektivisere kapitalforvaltningen
(Master thesis, 2015)Formålet med utredningen er å illustrere hvordan Flyktninghjelpen kan bedre sin likviditetsstyring, samt forvaltning av kort- og langsiktig kapital. Flyktninghjelpen har svært volatile kontantstrømmer som gjør det ... -
Liner shipping network design with autonomous vessels : economic and operational analysis under static and dynamic scheduling
(Master thesis, 2020)Autonomous shipping technology has seen rapid growth in the last few years. Introduction of autonomous vessels may bring a wide range of benefits to the maritime industry such as cost savings, higher fuel efficiency, ... -
The link between bankruptcy law and entrepreneurship
(Master thesis, 2009)Entrepreneurship and innovation are often characterized as two of the most vital contributors to long term prosperity in the world today. As a result we have seen increased interest in this topic both from researchers and ... -
The link between ESG and financial performance of the Nordic banks : AnEmpirical Analysis of the Relationship Between ESG Scores and Financial Performance of the Banks in the Nordic Region
(Master thesis, 2022)This study examines the relationship between financial performance (FP) and ESG performance of banks in the Nordic region. ESG-FP link is examined using fixed effect and 2SLS regressions on two samples of data obtained ... -
Link price setting behaviour with lumpy factor adjustments : A micro panel data analysis of Norwegian manufacturing firms
(Master thesis, 2013)This paper takes a descriptive approach to investigate the interrelation between price changes and factor demand based on the observation of rigidness in prices and lumpy adjustments of capital and labour stock. Based ... -
Liquidity and asset prices : empirical analysis of the Norwegian stock market
(Master thesis, 2019)This thesis investigates time-varying characteristics of illiquidity and the pricing of its risk using liquidity-adjusted capital asset pricing model(LCAPM). Collecting data from Norwegian stock market between 1998 and ... -
Liquidity Coverage Ratio Management : Analyzing Norwegian Market Dynamics and Optimizing Liquidity Portfolios
(Master thesis, 2023)This thesis aims to present an in-depth exploration of the Liquidity Coverage Ratio (LCR), and further analyze the optimum allocation of High-Quality Liquid Assets (HQLA) for Norwegian banks. Additionally, we compare our ... -
Liquidity Dynamics in the Nordic Financial Power Market : An Empirical Impact Analysis of the Liquidity at the NASDAQ OMX Commodities Exchange Following Nord Pool’s 2021 Mispricing of the Nordic System Price
(Master thesis, 2023)In this study, we explore liquidity dynamics in the Nordic financial power market in late fall 2021. We focus on the impact of a pricing error in the Nordic power derivatives’ reference: the Nordic system price. Our ... -
Liquidity Effects of the Norwegian Wealth Tax: A study from Norway
(Master thesis, 2022)We use panel data provided by the Norwegian Tax Authorities to estimate the effect the Norwegian wealth tax has on dividend payments from owners of unlisted firms. Using individual tax return data from 2009 to 2016, we ... -
Liquidity Following MiFID II estimating the effect of research unbundling on norwegian small and mid-cap stocks
(Master thesis, 2019)MiFID II was implemented in 2018 and requires that cost of research products is unbundled commission fees. An anticipated consequence of the” inducement rule” is reduced coverage of small-and mid-cap stocks. In light of ... -
Liquidity in the Norwegian and Danish Covered Bond Markets: An empirical study comparing the liquidity in the secondary covered bond markets in Norway and Denmark from 2010 to 2021
(Master thesis, 2021)In this paper, we analyze and compare the liquidity in the Norwegian and Danish secondary covered bond markets using transaction data from 2010 to 2021. With sparse transaction data, measuring liquidity in the two markets ... -
Listening: The Heart of Leadership? : An Exploratory Study on the Role of Listening and Mental Models for Ethical Decision-Making Using the Boeing 737 Max Scandal as an Illustrative Case
(Master thesis, 2021)This exploratory study examines the role of listening and mental models for ethical decision-making. A model on listening is presented based on a review of the literature. The model proposes that the effectiveness of a ... -
Litigation Risk in Directors’ and Officers’ Liability Insurance : The Impact of Company-Related Risk Factors on the Insurance Premium
(Master thesis, 2021)A directors’ and officers’ (D&O) liability insurance policy prices the risk of litigation. The objective of this thesis is to investigate whether company-specific risk factors are incorporated in the pricing, and in such ...