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Dissertations / Theses on the topic 'Exchange of debt'

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1

Goldfajn, Ilan. "On public debt and exchange rates." Thesis, Massachusetts Institute of Technology, 1995. http://hdl.handle.net/1721.1/11082.

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2

Magud, Nicolas Ernesto. "Output structure, debt denomination, and exchange rate regimes." College Park, Md. : University of Maryland, 2004. http://hdl.handle.net/1903/244.

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Thesis (Ph.D.) -- University of Maryland, College Park, 2004.<br>Thesis research directed by: Economics. Title from t.p. of PDF. Includes bibliographical references. Published by UMI Dissertation Services, Ann Arbor, Mich. Also available in paper.
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3

Adinugrahan, Sapto, and Mochamad Ridwan. "Efficiency of Foreign Debt Portfolio Management in Emerging Economies." Thesis, Internationella Handelshögskolan, Högskolan i Jönköping, IHH, Economics, Finance and Statistics, 2015. http://urn.kb.se/resolve?urn=urn:nbn:se:hj:diva-26887.

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Fluctuation of exchange rate has affected the increasing burden of foreign debt payment in emerging economies. This issue has negatively influenced the economic growth. It has been a severe obstacle considering that governments have to issue public debt denominated in foreign currency to finance the budget deficit. Hence, there is an urgent necessity to implement an efficient public debt management to minimize the exchange rate exposure. This thesis analyses how efficient the foreign debt portfolio management is in the 14 emerging economies under examination in the period of 1990-2013. Panel D
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Hamel, Wassing Maximilian, and Martin Kenney. "Multiple large shareholders, control contestability and debt maturity : A study on the conflict of interest over debt maturity between minority and large shareholders on the Swedish stock exchange." Thesis, Linköpings universitet, Företagsekonomi, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-131051.

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Background: Sweden has a tradition of a concentrated ownership structure where many owners use dual asset classes to maintain corporate control by possessing small portions of the dividend rights. Financial literature has shown that these controlling owners find more incentives to divert corporate resources for private use, at the expense of shareholders. Recent studies also show that involvement in extraction of private benefits leads to long maturity debt as controlling owners avoid frequent monitoring by lenders. As this causes a conflict over corporate debt maturity between controlling and
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Favaretto, Federico. "Essays in International Macroeconomics:." Thesis, Boston College, 2021. http://hdl.handle.net/2345/bc-ir:109208.

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Thesis advisor: Peter Ireland<br>Thesis advisor: Rosen Valchev<br>This dissertation consists in three chapters, each making a distinct contribution. Chapter 1 empirically tests classic and new Uncovered Interest Parity puzzle in an innovative way. Findings suggest that government debt is significant and economically relevant for UIP puzzles estimation.Chapter 2 shows that a class of macroeconomic models reproduce the UIP puzzle under a standard parametrization and adding convenience yields exogenous dynamics. Chapter 3 is a theoretical model that links financial crises to the election of popul
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Жильцова, Д. О., Олександр Васильович Зайцев, Александр Васильевич Зайцев та Oleksandr Vasylovych Zaitsev. "Життя у борг". Thesis, Сумський державний університет, 2011. http://essuir.sumdu.edu.ua/handle/123456789/64940.

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У тезах студентського повідомлення розглядаються питання руху та використання валютних ресурсів в країнах та між громадянами.<br>В тезисах студенческого сообщения рассматриваются вопросы перемещения и использования валютных ресурсов в странах и между гражданами.<br>In the theses of the student's message, the issues of the movement and use of foreign exchange resources in countries and between citizens are considered.<br>немає
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Sedghi, Khorasgani Hossein. "Essays on financial stability in EMEAP countries." Thesis, University of Leicester, 2011. http://hdl.handle.net/2381/10069.

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This thesis analyses financial stability in eight members of the Executives’ Meeting of East Asia-Pacific Central Banks (EMEAP) economies. One of the factors that may increase financial imbalances (and hence it affects financial stability of an economy) is the accumulated outstanding debt of the economic agents. For example, the corporate sector’s outstanding debt can negatively affect activity of lenders and hence the capabilities of the economy. Since banks are important financial intermediaries in most financial systems, the financial status of banking sector is also important to analyse fi
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Suleman, Muhammad Tahir. "Risk Involved in International Debt Investment in Emerging Markets : A Case Study of India, Malaysia and Taiwan." Thesis, Skövde : University of Skövde. School of Technology and Society, 2008. http://www.diva-portal.org/smash/get/diva2:31145/FULLTEXT01.

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9

Sangare, Ibrahima. "Essays on exchange rate policies and monetary integration." Thesis, Bordeaux, 2015. http://www.theses.fr/2015BORD0381/document.

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Cette thèse étudie le choix des régimes de change dans des contextes économiques particuliers. La première partie (Chapitres 1 et 2) considère le cas des petits pays dont les dettes sont libellées en monnaies étrangères et celui d’une région constituée de tels petits pays lorsqu’il existe une similitude dans la composition des paniers définissant leurs taux de change effectifs. La deuxième partie de la thèse (Chapitres 3 et 4) se penche sur la considération des différents régimes de change dans le contexte monétaire de trappe à liquidité comparativement à un environnement monétaire traditionne
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Ibraimo, Yasfir Daudo. "The macroeconomic effects of public debt : an empirical analysis of Mozambique." Master's thesis, Instituto Superior de Economia e Gestão, 2017. http://hdl.handle.net/10400.5/14577.

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Mestrado em Economia<br>A divida publica tem estado a crescer acentuadamente nos últimos anos, o que sugere um crescimento da despesa publica financiado pela emissão da divida publica em oposição ao uso da tributação. Não tem existido consenso relativamente as implicações económicas da emissão da divida publica para financiar a despesa publica. Esta dissertação investiga de forma empírica os efeitos macroeconómicos da divida publica para o caso de Moçambique para o período do primeiro trimestre de 2001 ao quarto trimestre de 2016. Modelo de Vector Autoregressivo são usados para avaliar os efei
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Vašková, Kateřina. "Vliv fiskální politiky na vývoj devizového kurzu v posledním desetiletí (na příkladu Velké Británie a ČR)." Master's thesis, Vysoká škola ekonomická v Praze, 2010. http://www.nusl.cz/ntk/nusl-75257.

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Diploma thesis deals with problem whether fiscal policy has an impact on development of currency exchange rate. The first aim of the thesis is to describe some theoretical models which consider possibilities of relationship between fiscal policy and currency exchange rate and to give a notice where can be differences. The thesis introduces a function of fiscal policy, a creation of currency exchange rate and describes an environment of exchange market. Currency exchange rate is stable on its market defined value in the long term. I suppose also that interventions of leaders of fiscal policy ca
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Ferrari, Giulia. "Dançar tango no Monte Olimpo : uma comparação entre crises e planos de ajuste estrutural entre Argentina e Grécia." Master's thesis, Instituto Superior de Economia e Gestão, 2012. http://hdl.handle.net/10400.5/10832.

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Mestrado em Desenvolvimento e Cooperação Internacional<br>Ao olhar para o desenvolvimento das crises em Argentina no começo da década de 2000 e na Grécia a partir de 2008 e para as medidas tomadas na tentativa de resolvê-las, é possível encontrar várias semelhanças: taxas de câmbio fixas que ao princípio levaram a um forte crescimento económico acabaram por ter efeitos negativos sobre o mesmo, numa situação agravada por golpes a nível macroeconómico devidos a acontecimentos externos aos países. Em âmbos os casos, foram implementadas medidas de austeridade miradas à desvalorização interna, par
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Sow, Moussé Ndoye. "Essays on Exchange Rate Regimes and Fiscal Policy." Thesis, Clermont-Ferrand 1, 2015. http://www.theses.fr/2015CLF10479/document.

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Cette thèse s’intéresse d’une part aux effets macroéconomiques des régimes de change, et d’autre part, aux récentes évolutions sur la politique budgétaire et la décentralisation. La partie I met essentiellement l’accent sur l’interaction entre les régimes de change (RC) et la politique budgétaire, monétaire et fiscale. Tout d’abord, nous mettons en évidence que les RC peuvent avoir un effet stabilisateur sur la politique budgétaire (chapitre 1). Cependant, cet effet stabilisateur des RC n’est pas automatique mais dépendrait plutôt des conséquences d’une politique budgétaire laxiste. Le chapitr
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Turolla, Frederico Araujo. "Política cambial com dívida indexada em moeda estrangeira no Brasil, 1995-2004." reponame:Repositório Institucional do FGV, 2005. http://hdl.handle.net/10438/1768.

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Made available in DSpace on 2010-04-20T20:56:58Z (GMT). No. of bitstreams: 3 FredericoAraujoTurolla2005.pdf.jpg: 22630 bytes, checksum: a986c983569fe1e1e598c80d45ea8e7e (MD5) FredericoAraujoTurolla2005.pdf.txt: 260148 bytes, checksum: c447996e2d5fff342713401eb46da8c7 (MD5) FredericoAraujoTurolla2005.pdf: 1695632 bytes, checksum: 7c5530aa3a5fa60ab6aa45feda08576c (MD5) Previous issue date: 2005-09-20T00:00:00Z<br>This thesis discusses the Brazilian public sector’s currency-linked domestic debt between 1995 and 2004. It argues that the reasons of that debt are not to be found in the goals o
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Beran, Michal. "Vnější ekonomická rovnováha České republiky." Master's thesis, Vysoká škola ekonomická v Praze, 2010. http://www.nusl.cz/ntk/nusl-74433.

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The thesis analyses the trend in external economic balance of the Czech Republic since 2000. The main instruments for the analysis were found in level of balance of payments and external debt statistics. The emphasis is also placed on exchange rate of Czech currency which is considered to be one of the leading determinants of external economic relations. The main goal of this paper lies in examination of past, present and also expected future trend in external balance with respect to various indicators and to comparison with other EU members, especially with Central Europe region (Poland, Slov
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Čajka, Martin. "Analýza vývoje na rakouském kapitálovém trhu a jeho měnových souvislostí (v období do roku 1918)."." Doctoral thesis, Vysoká škola ekonomická v Praze, 2005. http://www.nusl.cz/ntk/nusl-76771.

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The dissertation thesis is considered with the development of capital markets in Austria before 1918. The Austrian capital market originated during the 18th century as the place for distribution of government securities. In 1771 the Vienna Stock Exchange was established as the first organized place for securities trading in the former Austrian Monarchy. The government securities remained the major investment instrument traded till 1918. In primary decades the Austrian capital market was nearly connected with the development of Austrian currency especially in times before the Austrian state ban
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Uzun, Arzu. "Financial Dollarization, Monetary Policy Stance And Institutional Structure: The Experience Of Latin America And Turkey." Master's thesis, METU, 2003. http://etd.lib.metu.edu.tr/upload/12606739/index.pdf.

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Financial dollarization, defined as the substantial presence of foreign currency denominated assets and liabilities in the balance sheets of the main sectors of an economy, is a widespread phenomenon among developing economies, especially in Latin America and Turkey. Since financial dollarization often causes financial fragility and limits the effectiveness of monetary policy, the causes and consequences of it and dedollarization strategies have been placed at the forefront of policy debates especially in developing countries. The purpose of this study is to analyse the determinants of corpora
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18

Joos, Oscar, and Johanna Öhlin. "Capital structure's influence on volatility on in times of financial distress : An investigation on capital structure as a volatility influencer before, during and after the European debt crisis on the Stockholm Stock Exchange." Thesis, Umeå universitet, Företagsekonomi, 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-137227.

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The financial crisisand the European debt crisis wreaked havoc on many European economies and stock markets. Previous studies have shown that crises are associated with high debt and linked with lower growth. Studies also suggest that politicians underestimate the risks associated with high debt during economic upturn and that economic crises are usually connected with high volatility. Volatility is used as a measurement of risk since high volatility indicates larger market uncertainty of the valuation of the underlying asset. Previous studies have shown that volatility can be a good indicatio
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Tsang, Yuk-fong Elly. "The employment of debt securities in Hong Kong : a study of the market's past developments, recent growths and future prospects /." [Hong Kong : University of Hong Kong], 1986. http://sunzi.lib.hku.hk/hkuto/record.jsp?B12325922.

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Kudličková, Anna. "Vnější ekonomická rovnováha České republiky." Master's thesis, Vysoká škola ekonomická v Praze, 2011. http://www.nusl.cz/ntk/nusl-114116.

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The thesis analyses the external economic balance of the Czech Republic from 2000 till 2011 based on the balance of payments, investment positions and the external debt statistics. in conjunction with the exchange rate development. The main evaluation indicators used in the thesis are the current account balance, the basic balance and external debt. The thesis explains the causes of the development of these indicators and their consequences, considers the trend and then assess whether we can speak about a sustainable form of the external economic balance in the case of the Czech Republic.
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Nouajaa, Ghassen. "Exposition au risque de change, politique de couverture et conflits d'agence." Thesis, Rennes 1, 2014. http://www.theses.fr/2014REN1G032.

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Cette thèse étudie l’effet des variations du taux de change sur la valeur de l’entreprise, les déterminants de la politique de couverture et le rôle des conflits d’agence. Les résultats montrent que la non-significativité de l’exposition au risque de change est expliquée par une asymétrie de la couverture. Le niveau de couverture de change dépend des économies d’échelle, du risque de détresse financière et du niveau d’exportations de l’entreprise. Nos résultats révèlent, aussi, que la rémunération des dirigeants en actions et en options réduit le risque de change résidu de la couverture<br>Thi
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Švadleňák, Michal. "Financování státního dluhu České republiky: příčiny a rizika aktuální situace na dluhopisových trzích." Master's thesis, Vysoká škola ekonomická v Praze, 2015. http://www.nusl.cz/ntk/nusl-264382.

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This thesis is focused on the comparison of methods of financing budget deficits and national debt management in the Czech Republic with other OECD countries in the context of the current situation on the global financial market. The first part describes the methods of financing budget deficits in the Czech Republic which are compared with selected OECD countries. The second part is aimed at the impact of foreign exchange interventions of the Czech National Bank on the domestic bond market and it is compared with negative interest rates policy. The last part analyses the impact of the Public S
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Roldán, Marín Alba. "The classical gold standard and the Mediterranean periphery: the Spanish case (1870-1913)." Doctoral thesis, Universitat de Barcelona, 2019. http://hdl.handle.net/10803/667709.

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This PhD analyses the causes and consequences of Spain’s non adoption of the gold standard. Chapter 1 is a state of the art about the costs and benefits of the gold standard in Spain. Chapter 2 is about causes by carrying out a debt sustainability analysis. Chapter 3 is about consequences and explains how the non-adoption of the gold standard could affect Spanish economy. Chapter 4 is a counterfactual analysis and studies how the economic growth would have been under a fixed exchange rate regime. The adoption of the gold standard would have been a mistake before 1903. Moreover, the adoption of
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Candiago, Noémie. "La dette écologique en droit international public." Thesis, La Rochelle, 2017. http://www.theses.fr/2017LAROD007/document.

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La dette écologique est un discours politique qui s'est développé au début des années 90 pour lutter contre le fardeau des dettes financières qui grevait les budgets des États en développement. États et société civile se sont alors appropriés les acquis théoriques et pratiques des sciences économiques et sociales pour contester un ordre du monde inégalitaire et conduisant à la dégradation continue de l'environnement, caractéristique d'un "échange écologiquement inégal". Mais dans la bouche des différents acteurs, la dette écologique a pris des sens différents, si bien que l'on peut dissocier q
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Silveira, Thais Hae Ok Brandini Park. "O Plano Real e o balanço de pagamentos do Brasil." Universidade de São Paulo, 2015. http://www.teses.usp.br/teses/disponiveis/2/2133/tde-31072015-175436/.

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Este trabalho tem como objetivo analisar o Plano Real e o Balanço de Pagamentos do Brasil. O que se pretende verificar é se o Plano Real é consentâneo ao sistema de Direito Brasileiro. Para tanto, a análise foi dividida em três blocos. No primeiro, que compreende os Capítulos I e II, foram apresentadas noções indispensáveis para a compreensão do assunto: de preço, poder de compra da moeda e taxa de câmbio. Na oportunidade, também se esclareceu que o Plano Real tinha como principal objetivo combater a inflação no país causada, segundo seus idealizadores, pela indexação da economia e pelo défici
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Legrand, Romain. "Régimes monétaires et politiques conjoncturelles de stabilisation dans l'espace économique européen : une analyse théorique et empirique." Thesis, Cergy-Pontoise, 2013. http://www.theses.fr/2013CERG0677/document.

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La mise en place de l'Euro en 1999 a constitué un événement économique majeur pour les Etats européens. La crise financière de 2007, puis la crise de la dette souveraine en 2010, ont amené à remettre en question la pérennité de la zone Euro, et la capacité de certains de ses membres à respecter leurs engagements vis-à-vis de la monnaie unique. Les mesures d'austérité mises en oeuvre au sein de l'Union Economique et Monétaire dans le contexte actuel de crise peuvent constituer pour certains Etats une tentation supplémentaire pour quitter la monnaie unique et recouvrer leur indépendance monétair
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Feldbabelová, Irina. "Finanční hodnocení podniku a návrhy na zlepšení." Master's thesis, Vysoké učení technické v Brně. Fakulta podnikatelská, 2011. http://www.nusl.cz/ntk/nusl-223091.

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he aim of this thesis is to carry out an appraisal of a financial condition of a company. In the first part, theoretical start-points of Financial Analysis are scrutinised, with an introduction of the company followed. By taking the advantage of the Financial Analysis method, the financial condition of the company is appraised and the outcomes are compared with competition. In the second part, proceedings for risk elimination in the company management are suggested.
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Zimmermann, Claus D. "A contemporary concept of monetary sovereignty." Thesis, University of Oxford, 2011. http://ora.ox.ac.uk/objects/uuid:6ee49e71-ba23-4fe5-999c-ec0db325aaf4.

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This thesis analyses whether the concept of monetary sovereignty evolves under the impact of globalization and financial integration, and provides a framework for assessing what this implies. Thereby, this thesis contributes to a better understanding of both the contemporary exercise of sovereign powers in monetary and financial matters and of the driving forces behind the evolution of international law in this field. As elaborated in chapter 1, the contemporary concept of monetary sovereignty proposed by this thesis is not static but dynamic in nature. Due to the dual nature of sovereignty as
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Håkansson, Ellen, and Louice Evertsson. "Det pyr under ytan : En kvalitativ studie om konflikter bland undersköterskor." Thesis, Högskolan i Skövde, Institutionen för hälsa och lärande, 2018. http://urn.kb.se/resolve?urn=urn:nbn:se:his:diva-16173.

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En stor andel av alla sjukskrivningar i Sverige beror på psykisk ohälsa. Kvinnor inom kontaktyrken löper störst risk att drabbas. Konflikter på arbetsplatsen är en anledning till psykisk ohälsa. Syftet med denna kvalitativa studie är att undersöka hur kvinnliga undersköterskor upplever konflikter i arbetsgrupp utifrån fyra perspektiv: arbetsgrupp, genus, makt och socialt utbyte. Med hjälp av semistrukturerade intervjuer har vi intervjuat tio undersköterskor i en mindre ort i Västra Götaland. Resultatet visar att informanterna upplever att konflikter har en negativ inverkan på undersköterskorna
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Berggren, Emelie, and Moa Wallin. "Att leda digitalt - det "nya" ledarskapet : En kvalitativ studie om digitalt ledarskap till följd av coronapandemin." Thesis, Uppsala universitet, Informationssystem, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-445692.

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Till följd av coronapandemin tvingades många organisationer göra en hastig och ofrivillig övergång till distansarbete. Detta skifte i arbetssätt för med sig nya krav, inte minst på ledare som tvingas kommunicera och leda via digitala verktyg. Följaktligen ämnade denna studie undersöka ledares upplevelser under denna tidsperiod och hur ledarskapet medierats med hjälp av informations- och kommunikationsteknik (IKT). För att besvara forskningsfrågan genomfördes semistrukturerade intervjuer med tolv ledare. Empirin analyserades sedan huvudsakligen utifrån en affordance-lins, i kombination med ett
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Fadhlaoui, Hinda. "Réformes évolutionnistes du système des paiements internationaux : la création de systèmes des paiements supranationaux, une nécessité au regard des défauts du régime monétaire international actuel." Phd thesis, Université de Bourgogne, 2012. http://tel.archives-ouvertes.fr/tel-00869626.

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Au plus fort de la crise, le régime monétaire international se révèle être impuissantlorsqu'il s'agit de limiter la volatilité excessive des taux de change, l'ampleur desdéséquilibres des balances de paiements courants, le développement d'une spéculationeffrénée sur les marchés des changes et l'asymétrie entre pays en excédent et pays endéficit. Cette thèse, qui a eu le mérite d'ouvrir des pistes nouvelles dans lacompréhension des rapports complexes entre les déséquilibres mondiaux et le régimeactuel, a montré que ces déséquilibres sont intrinsèquement rattachés aux défaillances dela structure
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Blom, Bringlöv Agnes. "”Det handlar om att ge och ta” : En kvalitativ studie om betydelsen faktorer kopplade till schemaläggning har för upplevelse av delaktighet och inflytande." Thesis, Umeå universitet, Sociologiska institutionen, 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-139948.

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Syftet med studien är att undersöka betydelsen faktorer kopplade till schemaläggning har för upplevelse av delaktighet och inflytande. De faktorer som undersökts är schemaläggningssystem, organisatoriska aspekter, samarbete, och flexibilitet. De teorier som används är Job demand-control model, Social exchange theory och Structural empowerment theory. Det är en kvalitativ intervjustudie med fem informanter som jobbar hel- eller deltid inom äldrevård eller funktionshinderomsorg i Umeå kommun. Informanterna har tre olika schemasystem med det gemensamma att samtliga informanter får ge önskemål på
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Dahlborg, Josefine, and Johanna Pettersson. "Employee Retention Management genom det psykologiska kontraktet : En komparativ studie om vad lärare i fristående och kommunala skolor värderar högst i sin anställning." Thesis, Högskolan i Skövde, Institutionen för handel och företagande, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:his:diva-19792.

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Bakgrund: Det är av stor vikt för organisationer att arbeta med employee retention management för att maximera sina chanser att behålla sin personal. Att förlora medarbetare leder till höga kostnader för bland annat nyrekrytering och upplärning. Dessutom uppstår en kompetensförlust. Idag råder en stor lärarbrist i Sverige vilken förväntas öka ytterligare de kommande åren. Det är alltså inte enbart kostsamt för skolor att förlora sina lärare; det är också riskfyllt då det riskeras att den kompetens som krävs inte finns att tillgå på arbetsmarknaden.Syfte: Studien avser att förklara vilken fakto
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Andersson, Johanna, and Emely Nilsson. ""Det ska inte vara lätt att knarka" : En studie om sprututbyte och svensk narkotikapolitik." Thesis, University of Kalmar, School of Human Sciences, 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-6618.

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<p>The drug treatment staff attitude towards needle exchange is what investigates in this study. The aim of this study is to see what’s affecting the standpoints in the needle exchange issue and also to investigate if the needle exchange is compatible with Swedish drug policy. The study has a qualitative approach and it’s based on eight semi-structured interviews with drug treatment staff. To analyze the empirical material we’ve used Berger and Luckmanns social construction theory, the theoretical concept profession socialization and the four ethical principles: autonomy principle, goodness ma
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Uebel, Felicia, and Fredrik Berglin. "Det svarta guldet - oljans påverkan på den svenska aktiemarknaden : En ekonometrisk analys av oljans avkastning och volatilitet." Thesis, Linköpings universitet, Nationalekonomi, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-177205.

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Research on the relationship between the oil market and the stock market has been a frequently discussed topic. Regarding the connection between oil and the stock market, there are different opinions about whether there is a relationship or not, therefore there is still room left for further research on the subject matter. In addition, none of the studies we could identify researched the Swedish stock market with the effect on different sectors separately at the stock market. The purpose of this paper is to study the relationship between the return- and volatility of the oil and how it affects
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Appelqvist, Elin, and Emma Thomsson. "Det är som att leka med elden : En kvalitativ studie om valutakursens påverkan på internationellt agernade svenska SME-företag." Thesis, Linnéuniversitetet, Institutionen för ekonomistyrning och logistik (ELO), 2020. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-92479.

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Företag som agerar på en internationell marknad står inför olika risker men också möjligheter vid en valutafluktuation. Företag som hanterar ett pengaflöde i någon form av utländsk valuta står inför valutaexponering när valutakursen fluktuerar. För att minska valutarisken kan företagen använda sig av olika valutastrategier. Enligt tidigare studier är det vanligare bland större företag att använda valutastrategier medan ’small medium sized enterprises’ (SME) har bristande kunskaper inom ämnet och känner en oro för att använda sig av de verktyg som finns. Eftersom SME-företagen står inför olika
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Lundin, Anders, and David Fransson. "Avluftningsventil på avlopp – är det en energibesparing? : En studie om avluftningsventilens inverkan på fastigheters energiåtgång." Thesis, KTH, Byggvetenskap, 2014. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-174886.

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Byggnader i Sverige står för en stor del av landets totala energianvändning och det är därför viktigt att man försöker hitta energieffektiviseringar kring detta område. Ibland kan det vara enklare än man tror att komma på billiga energibesparande lösningar. En självklar sak är att termodynamikens andra lag även gäller avlopp. Eftersom avlopp i hus är öppna system, exponerade mot bistra uteklimatet genom hål eller små skorstenar i taket och det kommunala avloppsystemet, så borde det rimligtvis försvinna värmeenergi från huset även där. Man kan tänka sig att det sker kallras på vintern eller ett
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Lundhem, Sofie. "Informationsutbyte vid konkurrentbevakning : Vilken information får inhämtas från konkurrenter och hur får det ske vid konkurrentbevakning i enlighet med artikel 101.1 FEUF?" Thesis, Internationella Handelshögskolan, Högskolan i Jönköping, IHH, Rättsvetenskap, 2014. http://urn.kb.se/resolve?urn=urn:nbn:se:hj:diva-24020.

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Att upprätthålla en god affärsetik är viktigt för många företag, eftersom det skapar ett för- troende hos intressenter i olika led. För att inta en stark ställning på marknaden krävs även att företagen är konkurrenskraftiga. Ökad konkurrenskraft kan fås genom konkurrentbe- vakning, då information inhämtas från konkurrenter. Dock saknas det tydliga regler huruvida informationsutbyte omfattas av artikel 101.1 FEUF, som reglerar konkurrensbe- gränsande företeelser på marknaden. Kommissionen har meddelat att artikel 101.1 FEUF bör omfatta informationsutbyte, ef- tersom det kan påverka ett företags
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Wodlin, Sofia, and Linnea Nyström. "“Hur ska man tackla en motgång om man inte kan klappa lite på axeln och säga att det kommer lösa sig?” : En kvalitativ studie om chefers upplevelse av ledarskap på distans." Thesis, Linköpings universitet, Institutionen för beteendevetenskap och lärande, 2018. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-148977.

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Syftet med uppsatsen är att skapa en ökad förståelse för ledarskap på distans ur ett chefsperspektiv. Syftet undersöktes genom två frågeställningar som behandlar hur chefer bedriver sitt ledarskap på distans samt hur dessa chefer upplever sitt ledarskap. Genom en i huvudsak induktiv ansats med deduktiva inslag och kvalitativa semi-strukturerade intervjuer undersöktes uppsatsens ämne. Den insamlade empirin analyserades genom meningskoncentrering och skapade sex huvudsakliga teman som är; Kommunikationsverktyg, Krav i det dagliga arbetet, Relation till medarbetarna, Det egna ledarskapet, Digital
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Dantas, Clarissa Moreira ConceiÃÃo. "Ensaios sobre capacidade fiscal e endividamento municipal." Universidade Federal do CearÃ, 2016. http://www.teses.ufc.br/tde_busca/arquivo.php?codArquivo=17006.

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CoordenaÃÃo de AperfeÃoamento de Pessoal de NÃvel Superior<br>Esta dissertaÃÃo à composta por dois artigos, que estÃo dispostos em capÃtulos, nos quais foram utilizados metodologias e bancos de dados diferentes. No primeiro capÃtulo, intitulado âMensuraÃÃo da Capacidade e EsforÃo Fiscal dos MunicÃpios do Nordeste Brasileiro: uma AnÃlise de Fronteira EstocÃsticaâ, a partir de dados anuais, no perÃodo de 2001 a 2012, tem como objetivo mensurar a capacidade e esforÃo fiscal municipal, por meio da metodologia de Fronteira EstocÃstica, modelo de Battese e Coelli (1995). A partir dos resultados enco
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Kärki, Kim, and Robin Rasanayagam. "Beyond Budgeting, en framgångsfaktor? : En studie på om BeyondBudgeting utmärker sig som en framgångsfaktor när det kommer till lönsamhet bland de 30 största bolagen på stockholmsbörsen." Thesis, Högskolan i Borås, Akademin för textil, teknik och ekonomi, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:hb:diva-26635.

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Förmågan att kunna anpassa sig efter rådande omständigheter har aldrig varit mer påtagligt än idag. När Coronapandemin lamslog hela världen 2020 var det mycket i det vardagliga livet som förändrades. Det gick inte att gå ut och äta, träffa sina nära och kära eller planera nästa semester på samma sätt som tidigare. Men det va inte bara enskilda individer som drabbades, många företag fick stänga igen och gick i konkurs. Majoriteten av företagen idag använder sig ett traditionellt sätt för att budgetera och planera för framtiden, man gör budgetar för kommande period och förhåller sig sedan till d
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Koivula, Therese. "Production and characterisation of a chlamydial antigen candidate for vaccine trials." Thesis, Uppsala universitet, Molekylär biomimetik, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-451976.

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The bacterium Chlamydia trachomatis is the leading cause of bacterial sexually transmitted infection worldwide. When left untreated, chlamydial infections can lead to severe complications, such as infertility. Lack in current prevention and management due to its asymptomatic course of infection highlight the need for an effective vaccine against chlamydia. There is no vaccine at present to protect against chlamydia, but research is ongoing. A research group at Örebro University has developed a protein antigen candidate. This project focused on the production of the candidate, here called Prote
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Chen, Qing. "An Empirical analysis of the effects of market response to bank loan announcements in the Hong Kong stock market." Diss., Lincoln University, 2009. http://hdl.handle.net/10182/1205.

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This study will validate several key results from previous studies of bank loan announcement effects by using the data from Hong Kong market following the 1997 Asian crisis. Banks are believed to play a unique role in financial market which could effectively reduce the problem of information asymmetry and moral hazard. Banks could access borrowers’ inside information which is not available to other participants. Thus bank loan announcements convey valuable information to the market, and market response of the stock price should be positive. However, because of the significant reform in both fi
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Kinuthia, Wanyee. "“Accumulation by Dispossession” by the Global Extractive Industry: The Case of Canada." Thèse, Université d'Ottawa / University of Ottawa, 2013. http://hdl.handle.net/10393/30170.

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This thesis draws on David Harvey’s concept of “accumulation by dispossession” and an international political economy (IPE) approach centred on the institutional arrangements and power structures that privilege certain actors and values, in order to critique current capitalist practices of primitive accumulation by the global corporate extractive industry. The thesis examines how accumulation by dispossession by the global extractive industry is facilitated by the “free entry” or “free mining” principle. It does so by focusing on Canada as a leader in the global extractive industry and the spr
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Shahnawaz, Sheikh. "Dual labor markets, public debt management, and exchange rate movements /." 2002. http://www.gbv.de/dms/zbw/557987954.pdf.

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Chen, Pin-chieh, and 陳品捷. "Does Europea debt crisis affect Taiwan stock market?-Evidence from Taiwan Exchange-traded funds." Thesis, 2015. http://ndltd.ncl.edu.tw/handle/386r2x.

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碩士<br>國立中央大學<br>財務金融學系在職專班<br>103<br>Focusing on the Taiwanese Exchange-Traded Funds (ETFs), this thesis mainly analyzes whether the performance of ETFs changes during the period of European debt crisis. To evaluate the performance, we use traditional performance indicator and tracking error examine five ETFs listed in Taiwan stock market. The results show that with the traditional performance indicator, the performance of ETFs changes in the European debt crisis period. ETFs performances also differ by type. The results based on tracking error show that the tracking ability differs between th
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Pinto, Danielson Vicente Fortes Ramos. "Relating sovereign debt ratings to different practices of exchange rate policy: an empirical analysis." Master's thesis, 2012. http://hdl.handle.net/10071/9001.

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JEL classification: E42, G15<br>In this thesis it is developed a research project whose objective is to identify links between the exchange rate policy of a country - fixed, intermediate and floating - and its long-term sovereign external debt, measured by sovereign ratings and assigned by Moody's and the S&P notations agencies, in two different economic periods: 1998-2002 (crisis period) and 2003-2007 (period of global recovery). Based on a cross-section data for 81 countries, with a multivariate linear regression model and making use of three numerical scales for converting the sovereign ra
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You, Jia-Huei, and 游嘉慧. "THE IMPACT OF INDUSTRY REAL EXCHANGE RATE MOVEMENT AND DEBT FINANCE ON FIRM PERFORMANCE." Thesis, 2012. http://ndltd.ncl.edu.tw/handle/16743046788966082384.

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碩士<br>銘傳大學<br>國際企業學系碩士班<br>100<br>The paper investigate the level effects of industrial real exchange rates index on the productivity growth of manufacturing firms with access to debt in Taiwan. We empirically examines the exchange rate effects on firm real export sales, ROA and ROE, by using data on firm listed with electronics and steel publicly traded companies’ data covering the period of 1994-2010. The empirical evidences indicate that firm productivity is related to having access to external credit. The real appreciation led to an increase in real export sales, ROA and ROE.
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Woan-Ping, Yang, and 楊琬萍. "The relationship between bond yields of European countries and exchange rate under European debt crisis." Thesis, 2014. http://ndltd.ncl.edu.tw/handle/884w9t.

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碩士<br>國立高雄應用科技大學<br>金融資訊研究所<br>102<br>This paper investigates the relationship and causality between the European bond yields and the exchange rate of the Euro under the European debt crisis, using the daily data from Jan. 2th, 2008 to Sep. 10th2013. The unit root test, cointegrationtest,error correction model and variance decomposition are employed in this research.The main findings of this empirical research are as follows: Firstly, the result of Johansen cointegrationtest shows there is one cointegrated relationship among all variables, and the increasing of the bond yields for Germany, Por
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Chen, Hung-Ming, and 陳弘銘. "The Study of Taiwan Foreign Exchange MarketEfficiency under Global Financial Crisis and European Sovereign Debt Crisis." Thesis, 2013. http://ndltd.ncl.edu.tw/handle/58169473713224953699.

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