Original title: Stock market panics, safe havens and implications for the portfolio management
Translated title: Stock market panics, safe havens and implications for the portfolio management
Authors: Hýža, David ; Musílek, Petr (advisor) ; Derner, Tomáš (referee)
Document type: Master’s theses
Year: 2012
Language: eng
Publisher: Vysoká škola ekonomická v Praze
Abstract: [eng] [cze]

Keywords: asset price bubbles; business cycles; cyclical asset rotation; financial crises; leading economic indicators; real shocks; safe havens; bezpečné investiční přístavy; cenové bubliny; cyklická rotace aktiv; ekonomické cykly; finanční krize; reálné šoky; vedoucí ekonomické indikátory

Institution: University of Economics, Prague (web)
Document availability information: Available in the digital repository of the University of Economics, Prague.
Original record: http://www.vse.cz/vskp/eid/40072

Permalink: http://www.nusl.cz/ntk/nusl-199200


The record appears in these collections:
Universities and colleges > Public universities > University of Economics, Prague
Academic theses (ETDs) > Master’s theses
 Record created 2015-09-10, last modified 2022-03-03


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