National Repository of Grey Literature 23 records found  beginprevious21 - 23  jump to record: Search took 0.01 seconds. 
Hedge funds and financial crises
Zajícová, Karolína ; Zetek, Pavel (advisor)
The point of the Bachelor thesis is to accession on problematics of Hedge funds. The main point is to closer definition of Hedge funds, like unregulated segment of market, which serve just for choosen clientele. The thesis analyses characteristics, for deeper understading of relations analyse also authencic origin and gradual development of funds. Thesis is also emphasized to comparison of unitary segments and following riskiness. The main part of the thesis is impact of financial crises on hedge funds. There is analysed a situation before crisis and also after crisis. The following topic is implementation of new regulations and its potencial benefit for this segment. In the end of the thesis is written subjective evaluation, if the regulation of this segment of market is benefical and what could be expected in the future.
Analýza hedgeových fondov a hedgeových stratégií
Austová, Lucia ; Jílek, Josef (advisor) ; Halás, Vladimír (referee)
An objective of my graduation thesis is an analysis of hedge funds and hedge strategies while reflecting the distribution of the investments to right portfolio taking into account the risk. The main aim is to provide clear and consistent classification of whole variety of different hedge styles and strategies. There are plenty of different investment and trading strategies of hedge funds and their classification differs from analyst to analyst and from database to database. The work focuses on finding an alternative consistent classification of hedge funds which will lead to improvement of investment decisions of financial market participants, to effective distribution of the investment portfolio and therefore to elimination of undiversified risks. For the practical analysis I use real data of hedge fund returns of particular relevant time period. I focus on research and description of possible methods of hedge fund classification mentioning their pluses and minuses. After passionate evaluation of each method I have chosen two methods according to which I classify the hedge funds datasets and finally I compare the results of both. The theoretical part of work focuses on definition of hedge funds, hedge styles and strategies, pluses and minuses as well as risk accompanying particular strategy.
Hedge Funds as a New Investment Perspective
Kĺučár, Michal ; Brada, Jaroslav (advisor)
Práce se zabývá definováním a popisováním hedgových fondů z pohledu konvenčně a racionálně smýšlejícího portfolio manažera resp. investora, a to zejména nepřímo, tedy porovnáním s rozličným příp. alternativními skupinami aktiv. První část představuje zejména úvod do problematiky hedgových fondů a definice jejich stratégií investování. Další část připravuje ?nástroje? k analytické časti. Jsou to převažně přístupy založené na Moderní teorii portfolia (MPT) a Post-moderní teorii portfolia (PMPT). V samotné analytické časti se pak porovnávají a konfrontují jednotlivé druhy aktiv s hedgovými fondami a jejich konkrétními strategiemi. Při tomto postupu je využito celé spektrum nástrojů definovaných v předchozí části. Dochází tak k překvapivým závěrům a poukázáním na zajímavé skutečnosti a souvislosti v této problematice.

National Repository of Grey Literature : 23 records found   beginprevious21 - 23  jump to record:
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