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In document Finansiella risker (Page 35-40)

Studiens urval var den nordiska marknaden på grund av den kulturella, politiska och historiska homogenitet regionen har. Det skulle dock vara intressant att få ett större omfång, där man även inkluderar London eller Frankfurt-börsen, som är två stora börs marknader och respektive land används som exempel när man talar om finansiella system. I det här arbetet gjordes aldrig ett kontroll-mått, en rekommendation är att tillämpa modellen på företag som redan hamnat i konkurs för att säkerställa reliabiliteten och studiens trovärdighet.

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In document Finansiella risker (Page 35-40)

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