National Repository of Grey Literature 26 records found  previous11 - 20next  jump to record: Search took 0.00 seconds. 
The Changes in the approach to financial market regulation after the crisis with the impacts on the Czech banking sector
Bohuslavová, Petra ; Pavlík, Zdeněk (advisor) ; Čajka, Radek (referee)
After the outbreak of the financial crisis the question of a deficient financial market regulation came to the forefront from the point of view of might causes. The aim of this thesis is to evaluate the changes in the attitude towards creating the regulation measures and to analyze the impacts of the new set of reform Basel III on the Czech banking sector. The first chapter describes regulation and supervision of the financial markets and the attitudes towards creating the new regulation measures. The second chapter concentrates on the set of reform Basel III and its time implementation. The preformed analysis of the Czech banking sector indicates its preparedness for the Basel III implementation and the direct effects which are in connection with accepting this document possible. Further, there are also examined secondary effects caused by the Czech banking sector ownership structure.
Analysis of selected indicators of activities and powers of central bank in our country since 1989
Kočová, Olga ; Zeman, Karel (advisor) ; Řežábek, Pavel (referee)
The issue of competences of central bank in monetary or foreign exchange policy, the optimal adjustment of regulation and supervision of financial market and also the necessary independence of this institution is subjected to intensive discussion at the present time economic policy. In the theoretical part I will define basic concepts and definitions relating to this issue. From a theoretical point of view I will describe the concept and function of central banking, the independence of central bank, its types and optimal settings. I will also characterize the regulation and supervision of financial markets with regard to the definitions, models, systems, objectives and instruments of this issue. I will define the basic theoretical aspects of monetary and foreign exchange policy. In the analytical part I will process an analysis of selected indicators of activities and powers of the central bank in our country since 1989, mainly from the independence of the central bank, setting of monetary policy, financial market supervision and foreign exchange policy. I will make a comparison of changes in the development and activities of central banks in these areas with regard to trends in the legislation and their powers. The aim of this thesis is to analyze the development of selected indicators of activity of the central bank in our country with a focus on the transformation of the Czech economy with a summary of significant changes.
Regulation of capital market focusing the securities market
KREJČÍ, Lucie
The thesis "The regulation of capital market regulation, with a focus securities market "deals with the regulation and supervision of the capital market and securities market in particular. The first part is devoted to explaining the concepts of regulation and supervision, classification system of regulation and supervision, securities regulation and the reasons for the stock market. primary goal of this work is to compare the regulatory system securities market in the Czech Republic and the EU to propose any recommendations for the country. further analyzes the situation in the EU and more attention is focused on the regulation system in the UK and Germany.
Importance of bank stress tests in response to financial crisis
Honcová, Eliška ; Blahová, Naděžda (advisor) ; Brada, Jaroslav (referee)
This thesis deals primarily with issues of stress testing the banking sector in response to the current financial crisis. The first chapter briefly describes the basic causes of the financial crisis and its impact on the banking sector and the subsequent expansion into the European Union. A brief description of selected accepted European regulatory and supervisory reforms is followed. Their content is related to the stress tests. The second chapter describes in detail both the original and current stress testing methodology and shows the development in testing, which passed just after the outbreak of financial crisis. The additional tests of banks and the subsequent verification of test results are an integral part of the chapter. A key part of this work is to analyze the stress tests in Europe and then in CR for the year 2011. Test scenarios and specific test results are described here. In conclusion, the work tries to evaluate the adjustment of the Czech stress tests and their explanatory value compared to the European tests.
Banking regulation in the Czech Republic and Great Britain
Ruššinová, Miroslava ; Křížek, Tomáš (advisor)
This bachelor thesis deals with bank regulation and supervision, which is enacting in the financial markets in the Czech Republic and Great Britain at this time. The work consists of three parts. In the first part of my theoretical work I specify basic definitions of this subject, arguments for regulation, forms of institutional arrangements and look at current trends in regulation in Europe. The second part focuses on comparing the regulation and supervision in the Czech Republic and Great Britain, and defines their specific differences. The final part is devoted to analyzing the new regulatory framework in Great Britain.
Zadejte text nebo adresu webu nebo přeložte dokument. Zrušit Překlad (česky > anglicky) anglicky česky německy Analysis of central banking in the Czech Republic from 1918 to present
Mikulová, Veronika ; Zeman, Karel (advisor) ; Řežábek, Pavel (referee)
The aim of the thesis is assess the development of central banking in the Czech Republic from 1918 to present. The theoretical and methodological part define the basic characteristics of the banking system. I will discuss and comment on theoretical perspectives on the role of the central bank will focus on the mainstream theory and the theory of free banking. In another part of the work I examine the nature, objectives and instruments of monetary policy. In the analytical part the evolution of central banking will be analyzed in the various stages according to the polity of the state. In each period I will analyze the legal framework, institutional arrangements and scope of the central bank. In the final part of the work I will compare the results of central bank activity in the various stages of development.
The analysis of the supervision of all segments of the financial market in the Czech Republic
Kočová, Olga ; Zeman, Karel (advisor) ; Řežábek, Pavel (referee)
At the present time are held very intense and controversial discussions about how to set financial market supervision in both the United States and the European Union. In the theoretical part I will define the basic concepts and definitions relating to the issue. From a theoretical point of view I will characterize individual segments of the financial market, central banking, models of institutional arrangements and the basic principles of supervision. In the analytical part of the thesis I will process analysis of the development of the financial market supervision in the Czech Republic since 1989 in different areas of supervision with regard to the development of legislation, the scope and effectiveness of institutions responsible for their actions. I will make a comparison of changes in the development and setup supervision of financial market segments. The aim of this thesis is to analyze the development of financial market supervision, including the scope of authorities from 1989 to the present day financial monitoring exercise and perform.
Institutional arrangement of regulation and supervision in the Czech Republic and UK
Janovský, František ; Blahová, Naděžda (advisor)
Bachelor thesis covers regulation and supervision of Financial Markets. First chapter deals with terms as regulation and supervision in theory, possible forms of institutional arrangement of regulation and supervision as well as their advantages and disadvantages, reasons for banking regulation and current national and international trends in the field of regulation and supervison. Second chapter compares systems of regulation of chosen areas of banking sectors in the Czech Republic and UK. Third chapter analyses in detail newly implemented regulatory framework in the UK.
Comparison of the U.S. banking system and the Czech Republic
Justová, Sandra ; Půlpánová, Stanislava (advisor)
This thesis describes the banking system in the United States and the Czech Republic. The first chapter portrays the historical development of banking in these countries and the overwhelming attention paid to the emergence of central banking of the country. The next two chapters, introduces the work of the current U.S. banking and the Czech Republic, where it focuses specifically on central banking, commerce and the regulation and supervision of banks. At the end are set sighted differences between banking systems and overall assessment.
The causes and consequences of mortgage crisis in the USA
Štěrbák, Michal ; Mandel, Martin (advisor)
The theme of this thesis is the mortgage crisis in the United States which has started almost three years ago after the burst of a price bubble in the American residential real estate market. The first part of the work describes the rise and collapse of technology bubble, the securitization process, monetary policy of FED and the role of rating agencies. All of these reasons lead to the current crisis. The second part analyses causes of the crisis in the global view. It focuses on global imbalances and deals with macro aggregate. Special attention is paid to growth of montary aggregate, its strukcture and developing Asian economies after the currency crisis. The last part of the work touches on implications for regulation and supervision in the USA and Europe.

National Repository of Grey Literature : 26 records found   previous11 - 20next  jump to record:
Interested in being notified about new results for this query?
Subscribe to the RSS feed.