National Repository of Grey Literature 18 records found  previous11 - 18  jump to record: Search took 0.01 seconds. 
The Comparison of Economies of the Czech Republic and Italy
Gosman, Matěj ; Soukup, Alexandr (advisor) ; Severová, Lucie (referee)
This Bachelor thesis deals with comparison of the economies of the Czech Republic and Italy from the year 2004 to the present. The beginning of the traced period is the Czech Republic's accession to the European Union along with the associated economic growth of the country. Economic analysis of the two respective countries is focused on and divided into two periods where the parting line between them is the global financial crisis, which first become evident at the European economic scene in 2008. Significant attention is dedicated to the formation, progress and causes of the global financial crisis with regard to resulting explanation of changes in economic development of both countries. Analyzed elements of both economies are the main macroeconomic indicators: gross domestic product (GDP), inflation rate, rate of unemployment and balance of payments. To maintain the integrity and objectiveness of the information obtained, the Bachelor thesis describes the main factors that influenced the data. All data presented in this study comes from official statistics: Czech and Italian Statistical Offices, the European Statistical Office and the World Bank. The result of this Bachelor thesis is a comparison of the two economies within a limited period based on assessment of various macroeconomic indicators. These data are then used to calculate the economic stability of both countries in 2007, 2009 and 2014. These specific years were chosen purposefully to present all three particular sections of the monitored period. The abovementioned calculation resulted from the application of the Magic quadrangle.
Efficient market theory, history and present
Petrus, Jiří ; Soukup, Alexandr (advisor) ; Otakar, Otakar (referee)
The main aim of thesis is to assess the validity of Efficient markets theory in a particular case. Efficient markets theory is a theoretical model of a financial market that is very similar to the model of a perfectly competitive market. Efficient markets theory gives an explanation of price movement of financial instruments. Efficient market is based on similar assumptions as a perfectly competitive market. These assumptions are not always entirely realistic. For this reason perfectly competitive market does not exist, it is only a theoretical model describing an ideal situation. The thesis answers the question of whether the Efficient markets theory also theory or vice versa reality.
Application of the Fibonacci sequence in asset markets
Míšek, Tomáš ; Soukup, Alexandr (advisor) ; Šrédl, Karel (referee)
This bachelor thesis deals with the possibilities of using the Fibonacci sequence in asset markets. First, it introduces the issue of asset market and describes the individual assets. Then it explains, twhat it is the Fibonacci sequence and what mechanisms cause that it can be applied to conduct market assets. Describes the various technical analysis tools, which using this sequence. In the next section, the reader is familiar with various business strategies that utilize the tools and indicators based on this principle. As a brief description and as an example of using this strategy in the trading platform MetaTrader5. Finally, it applied Fibonacci tool to chart the development of prices of selected market for the year 2015 for the purpose of verifying that the market reacted to the level of the Fibonacci sequence. The author's subsequent assessment recommended to carry out more detailed statistical examination. Methods based on the Fibonacci sequence, when used properly, increases the chances of profitable trading. They are the accurate method of exploring capital markets. Above that, it will be able to predict future results and determine future trends of macroeconomic aggregates. However, it is necessary to observe the principle of risk management.
Causes of the formation of bubbles in financial markets, Ant model
Kuncman, Lukáš ; Soukup, Alexandr (advisor) ; Otakar, Otakar (referee)
The thesis deals with bubbles in financial markets, causes these bubbles and the ant model. The aim is to reveal the causes of bubbles in financial markets. Researched bubbles are dot-com, mortgages and crypto-currencies. In the first teoretical part are described the financial markets, investment instruments, theory of the business cycle, investment analysis and historical speculative bubbles. In the second practical part are identified the causes examined speculative bubbles. In the third part are summarized the results of the practical part.
Application of the Fibonacci sequence in asset markets
Hájek, Štěpán ; Soukup, Alexandr (advisor)
This bachelor thesis deals with ,how says the title ,Application of the Fibonacci sequence in asset markets. Aim of the thesis itself is preview of the main technics of aúplication of the Fibonacci sequence on real markets. In the teoretic part of thesis is eplained Fibonacci sequence everywhere around us, not only on markets. Explaind are also basic applications of Fibonacci sequence on various markets. In the solution of particular problem were attached technics used by proffesional traders and verified by myself. We will be able to identify levels ,which markets tend to use as a support or resistance. We will review the reasearch´s productivness of particular Aápplication of the Fibonacci sequence. Based on the reasearch ,we will have basic idea about tool, that is beinng used by traders all around the world. Goal of the thesis is to provide knowledge about Fibonacci sequence and also the application of it.
Administrative Monopoly in terms of the economy of the Czech Republic
Straka, Vojtěch ; Šrédl, Karel (advisor) ; Soukup, Alexandr (referee)
This thesis describes the existence of administrative monopoly in the Czech Republic. It concisely explains the division between perfect and imperfect competition. In connection to the imperfect competition both monopolistic competition and oligopoly are mentioned. The thesis characterises monopoly features, its origination and price discrimination. Furthermore, it focuses on concrete monopoly in the Czech Republic and the anti-monopoly policy of the Czech Office for the Protection of Competition. The practical part concentrates on the state enterprise of Czech Post. It contains a historical overview of postal services in the Czech Republic and it characterizes Czech Post including all its services, postal network and organisational structure. The workings of postal services and changes in its operation are described both in European and Czech context. The practical part consists substantially of the depiction of liberalisation of postal services market, which happened in the Czech Republic in 2013. The thesis characterises the legal framework of the loss of monopoly position of Czech Post and evaluates the process of liberalisation in EU countries and in the Czech Republic.
The Contemporary State of the Czech Economy due to the Financial Crisis of 2007–08
Ngo, Thanh Long ; Svoboda, Roman (advisor) ; Soukup, Alexandr (referee)
This bachelor thesis contains the theoretical and analytical part. In the theoretical part, basic concepts, which are important for macroeconomics (gross domestic product, inflation, unemployment, balance of payments, fiscal policy, monetary policy and the economic cycle) were explained. In the analytical part, the causes of the crisis which occurred in the United States in 2007 and affected the world economy were described. Thesis deals with macroeconomic indicators (GDP, inflation, unemployment, balance of trade) and development of the Czech Republic from 1999 to 2014. Furthermore, the discussions with respondents on the current state of the Czech economy and the consequences of the financial crisis, which affected their finances, were presented. The current and predicted future state of the Czech economy was determined.
Causes and consequences of the global economic crisis in 2008
Cincibus, Ivan ; Severová, Lucie (advisor) ; Soukup, Alexandr (referee)
The thesis is divided into two parts, theoretical and practical. The theoretical part is made in the format of literary research. It defines and describes the basic terms that are closely related to the topic. It devotes to the key aspects that contributed to the crisis. It specifies the beginning of the crisis and its impact on the participants. The analytical part uses the techniques of financial analysis. Based on the analysis of financial data it explains the course of the crisis in two organizations. Through cross-comparison of outputs of financial analysis is possible to monitor the course of the crisis in the specific companies BYSTROŇ Group a.s. and LUCEO, s.r.o.

National Repository of Grey Literature : 18 records found   previous11 - 18  jump to record:
See also: similar author names
2 Soukup, Adam
1 Soukup, Albert
2 Soukup, Aleš
2 Soukup, Anna
Interested in being notified about new results for this query?
Subscribe to the RSS feed.