National Repository of Grey Literature 13 records found  1 - 10next  jump to record: Search took 0.01 seconds. 
Fundamental analysis of Erste Bank
Ročková, Naděžda ; Veselá, Jitka (advisor) ; Derner, Tomáš (referee)
This bachelor thesis deals with fundamental analysis of Erste Bank's shares on the Prague Stock Exchange. The first chapter analyses the influence of macroeconomic variables on development of the stock index. In the second chapter attention is paid to banking sector, therefore how its development can influence share price. The last chapter deals with corporate analysis, which using various methods calculates the share's intrinsic value. Based on these partial analyzes is derived investment recommendation relating to Erste Bank shares in conclusion.
Testing of different methods of technical analysis in trading on capital markets
Samsonov, Daniil ; Fičura, Milan (advisor) ; Derner, Tomáš (referee)
This thesis introduces readers to the subject of technical analysis and its use in capital markets trading. The first part gives a brief overview of the theoretical problems of efficient market theory and empirical studies concerning the success of technical analysis. The second part is dedicated to the practical use and testing of business model based on technical analysis on the markets of selected assets.
The role of rating at capital markets
Petrželová, Soňa ; Musílek, Petr (advisor) ; Derner, Tomáš (referee)
The thesis elaborates on the development of the rating at capital markets and its regulation in the context of the global financial crisis. The first part focuses on the definition of the rating, the kinds and types of grant, explanation of the symbols in the rating scale, the rating process and activities of credit ratings agencies. The second part compares the different development of credit rating industry in the United States of America and in the European Union. It also deals with the participation of credit rating agencies in the financial crisis. The last part is concerned with the Dodd -- Frank Act and Regulation 1060/2009 on credit rating agencies as two different measures granted after crises. The thesis analyzed also their impact on the credit rating industry.
Stock market panics, safe havens and implications for the portfolio management
Hýža, David ; Musílek, Petr (advisor) ; Derner, Tomáš (referee)
The thesis addresses the instabilities in stock markets in the USA. There are many factors that may increase the price volatility, or even cause a panic. During these turbulent times investors can seek shelter in investment safe havens that allow protecting their portfolio against significant financial losses. The focus is put on identifying the situations where it is appropriate to use the safe havens and how to properly time all transactions. Historical insight, events study and investigating economic cycles are the integral part of the work.
Strategy of financial education in the Czech Republic and its implementation
Kuncová, Tereza ; Derner, Tomáš (advisor) ; Coufal, Libor (referee)
This bachelor thesis describes financial literacy in the Czech Republic. The thesis should provide to readers comprehensive summary about level of financial education in the Czech Republic and should illustrate importance of this education for the whole society. Big part of this work is devoted to the most important documents approved by the Czech government which are intended to improve level of financial literacy of Czech citizens. These documents also exactly determine the term of financial literacy. Further the work deals with completed researches in this area and the content is enriched by own research focused on financial literacy development of secondary school pupils. One of the main goals of the thesis is to find available possibilities of financial education both for schools and for adults. Additionally the thesis presents survey of publications and other study materials available to this topic on the Czech market.
Are Financial Market Anomalies Real? Evidence from Stock Markets in Five Countries
Ficik, Jozef ; Musílek, Petr (advisor) ; Derner, Tomáš (referee)
The financial market anomaly can be characterized as the event when observed stock returns differentiate from those expected by concrete pricing model. Many anomalies have been detected so far, and some of them vanished, while other persisted, after they had been published by academics and researchers. The aim of this thesis is to investigate the potential presence of selected types of anomalies in the financial markets and to provide relevant empirical evidence. The theoretical section will supply the reader with the descriptions of several types of financial market anomalies and the results of past studies documenting the existence of these anomalies, with possible reasons justifying the presence of this phenomenon. The analytical section will focus on the few selected anomalies and test whether they are still present in the selected financial markets.
Fundamental analysis of a share of Pegas Nonwovens
Pečonka, David ; Veselá, Jitka (advisor) ; Derner, Tomáš (referee)
The topic of my bachelor thesis is the fundamental analysis of a share of Pegas Nonwovens company. It consists of three parts: the first (global) part examines how major macroeconomic variables (interest rate, inflation, money supply, GDP) influence share prices. The second chapter describes characteristic factors of nonwovens industry which may also affect analyzed share. It's for example cyclicality of the business cycle or competitive environment. At the third, lowest level the corporate fundamentals are introduced. Using various models, I calculate the intrinsic value and in comparison with the market price I determine the valuation of shares. The aim should be the formulation of investment recommendation to buy or sell Pegas shares.
Fundamental analysis of Philip Morris
Drábek, Matěj ; Veselá, Jitka (advisor) ; Derner, Tomáš (referee)
This bachelor thesis describes the fundamental analysis of Philip Morris CR stock and aims to create an investment recommendation based on the analysis. The thesis is divided into three parts. In the first part I tried to evaluate influence of global economic factors on the development of stock prices. The second part consists of characteristics of tobacco industry in the Czech Republic. The last and most important part is dedicated to various methods used to determine if the stock is undervalued or overvalued on the market. In the conclusion of this thesis I make an investment recommendation based on the previous parts of this thesis.
Testing of trading and trending technical analysis indicators
Hospodár, Roman ; Veselá, Jitka (advisor) ; Derner, Tomáš (referee)
The aim of the diploma thesis is to test the own trading strategies on the exchange market and evaluate their success and applicability in practice. In the introduction of the diploma thesis, there are described basic parameters and basis for testing, such as tested indicators, tested time period and chosen currency pairs. In the next part of the thesis, selected indicators are compiled into three trading strategies, which are then tested . The final part consists of evaluating the results of all three trading strategies .
Analýza investičních produktů tuzemských a zahraničních bank
Kosek, Jiří ; Musílek, Petr (advisor) ; Derner, Tomáš (referee)
The objective of this thesis is to show different types of investment opportunities that a small investor has on a standard banking market. Subsequently they are analyzed from both theoretical and practical aspects. The reader will be able to see pros and cons of e.g. traditional saving products, mutual funds and many others. Services will be among other assessed from an international perspective. The main intention of this analysis is to find such financial products, to which a small investor has access and that can be recommended as a meaningful investment.

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