National Repository of Grey Literature 2 records found  Search took 0.00 seconds. 
Public debt management in the Czech Republic - alternatives, comparison
Kípeť, Ondřej ; Brůna, Karel (advisor) ; Blaheta, Petr (referee)
This thesis describes the actual trends of accumulation of the public indebtedness and the various views on the existence of fiscal deficit and public debt. The main purpose of the thesis is to analyze the public debt management - its objectives, operations and organisation. The quantitative criteria for debt portfolio determined by the Ministry of Finance of the Czech Republic are analyzed and compared with the development and structure of the czech central government debt. The analytical part of the thesis includes the rules for issuance of the government bonds, the analysis of the interest costs and the thoughts about the sustainability of the czech central government debt.
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Kípeť, Ondřej ; Čermáková, Daniela (advisor)
The first part of this thesis is focused on definition of currency risk. Internal and external methods of management of currency risk are mentioned. In the second part, all types of financial derivatives - forwards, futures, swaps and options - are characterized. The final part is a concrete example of hedging of currency risk with all types of financial derivatives. The contracts are compared and their advantages and disadvantages are mentioned.

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