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Report on Financial Stability 2011/2012
Česká národní banka
The report analyzes the risks to the financial stability of the Czech Republic in the near future on the basis of previous and expected developments in the real and financial sectors. The analysis is based on an advanced stress testing and economic models, augmented by a comprehensive test funding liquidity of banks. The report contains two alternative scenarios unfavorable development and testing of their impact on the financial sector. It contains four articles on the issue of financial stability.
Fulltext: PDF
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Report on Financial Stability 2010/2011
Česká národní banka
The report analyzes the risks to the financial stability of the Czech Republic in the near future on the basis of previous and expected developments in the real and financial sectors. It focuses mainly on the uncertainty in the lingering financial crisis. The analysis is based on an advanced stress testing and economic models, augmented by a comprehensive test funding liquidity of banks. The report contains three alternative scenarios unfavorable and testing their impact on the financial sector. It contains four articles on the issue of financial stability.
Fulltext: PDF
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Report on Financial Stability 2009/2010
Česká národní banka
The report analyzes the risks to the financial stability of the Czech Republic in the near future on the basis of previous and expected developments in the real and financial sectors. The analysis is based on an advanced stress testing and economic models, augmented by a comprehensive test funding liquidity of banks. The report contains three alternative scenarios unfavorable ("Return of the recession," "Loss of confidence", "Basic scenario") and testing their impact on the financial sector. It contains four articles on the issue of financial stability.
Fulltext: PDF
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Report on Financial Stability 2008/2009
Česká národní banka
The report analyzes the risks to the financial stability of the Czech Republic in the near future on the basis of previous and expected developments in the real and financial sectors. The analysis is based on an advanced stress testing and economic models, augmented by a comprehensive test funding liquidity of banks. The report contains three alternative scenarios unfavorable ("Europe in the doldrums", "market nervousness", "economic depression"), and testing their impact on the financial sector. It contains four articles on the issue of financial stability.
Fulltext: PDF
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Report on Financial Stability 2007
Česká národní banka
The report analyzes the risks to the financial stability of the Czech Republic in the near future on the basis of previous and expected developments in the real and financial sectors. The analysis is based on an advanced stress testing and economic models. The report contains three alternative scenarios for the development and testing of an adverse impact on the financial sector.
Fulltext: PDF
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Report on Financial Stability 2006
Česká národní banka
Report, which is mandated by the law in force since 2006, deals with the development of the financial market in the Czech Republic and abroad, of the status of non-banking institutions and households in conjunction with the finance organizations. It then focuses on the real estate market, and one chapter is devoted to the financial institutions of the banking and non-banking sector. It contains four articles on the issue of financial stability.
Fulltext: PDF
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Report on Financial Stability 2005
Česká národní banka
The report discusses the development of the financial market in the Czech Republic and abroad, the status of non-banking institutions and households in conjunction with the finance organizations. It contains an analysis of the financial sector and four articles on the issue of financial stability.
Fulltext: PDF
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Report on Financial Stability 2004
Česká národní banka
The report discusses the development of the financial market in the Czech Republic and abroad, the status of non-banking institutions in connection with finance organizations. It deals with the risk of destabilizing factors and their possible consequences.
Fulltext: PDF
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Prevention of money laundering
Lažková, Jana ; Blahová, Naděžda (advisor)
The bachelor thesis focuses on money laundering and measures adopted in the fight against this financial crime. The first theoretical section is devoted to definition of money laundering, its general characteristics and particular stages of the process. The second section aims at the situation in the Czech Republic, mainly anti money laundering law and its obligations. The third part give a description of some institutions engaged in the problem. Special emphasis is placed on Financial Analysis Department of the Treasury. The last one is especially devoted to financial institutions. It explains further what measures must be adopted in banks against this financial crime.
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