National Repository of Grey Literature 35 records found  previous11 - 20nextend  jump to record: Search took 0.00 seconds. 
Stock market
Klusák, Michael ; Grosz, Jan (advisor) ; Kudlík, Michal (referee)
This bachelor work is devoted to the stock markets in the Czech Republic. The first part focuses on the definition of basic theoretical concepts of the stock market. It contains the definition of securities, such as stocks, bonds, bills and checks. Characterized by stock exchanges and stock market players. Systematise stock exchanges according to their focus. Defines the types of exchange trading systems. Practical part characterizes the basic features of the Prague Stock Exchange, a. s. and the RM-SYSTEM Czech Stock Exchange and is incorporated herein development of selected shares on these exchanges.
Selected Problems of Capital Market Accounting
Burianová, Veronika ; Hanák, Zdeněk (referee) ; Sojka, Zdeněk (advisor)
The purpose of this thesis is to post particular accounting entries that take place on capital markets. Using specific accounting transactions and a specific business entity as examples, I attempted to demonstrate the process of posting selected transactions.
Selected Problem Accounting on Capital Market
Paseková, Petra ; Marada, Vlastimil (referee) ; Sojka, Zdeněk (advisor)
The purpose of this thesis is to describe the accounting practices of selected problems on the capital markets. I have processed the accounting procedures through practical demonstrations of the chosen company and the selected problems. The aim is to demonstrate accounting of these problems and transfer the knowledge into practice.
Reporting bonds according to the Czech accounting regulations and standards and IFRS
Macháček, Martin ; Zelenka, Vladimír (advisor) ; Zelenková, Marie (referee)
This bachelor thesis concerns the legal and economical adjustment of bonds, a bond analysis and the accounting and reporting of bonds for entrepreneurs according to the Czech accounting regulations and standards and IFRS. The theoretical part is explained using examples of discount bonds and coupon bonds. Subsequently, both systems are compared and the finding reveals that the biggest difference is in the distribution of interest. There the IFRS strictly require the use of the effective interest rate. Whereas, according to the Czech accounting regulations and standards, there is the anticipated use of the effective interest rate only for financial institutions and large corporations. Entrepreneurs usually use particularly linear distribution of interest for their needs.
Comprehensive study of yield in bond analysis
Krajčíková, Lucia ; Stádník, Bohumil (advisor) ; Málek, Jiří (referee)
This thesis covers detailed analysis of bond pricing function. It focuses on connections between mathematical definitions and financial practice and it points out advantages and drawbacks of currently used function. Well known properties of this function are extended to negative internal rate of return values. This topic is further discussed with internal rate of return polynomial equations solving. Taylor series approximation is also shown regarding duration and convexity of bonds.
Podpora rozhodování v oblasti investic do nemovitostí
Eftimiadis, Thomas
This master thesis deals with an investment topic that is focused on real estates. In order to compare these investments with their possible alternatives in terms of returns and risks there are also mentioned investment options in selected stocks, bonds and commodities. The comparison of return and risk results in a creation of comprehensive portfolios compiled for the specific investor profile, depending on his risk tolerance. Based on analysis outcomes and economic development forecasts the recommendations how to invest in a current market situation of the Czech Republic as well as major world economies are given in the thesis.
Vliv cenných papírů na výsledek hospodaření
Musil, David
This Bachelor thesis is concerned with the issue of charging securities. The thesis consists of two parts -- theoretical and practical. Theoretical part defines key terms concerning the securities. Practical part is divided into two sections. The first one deals with applied charging of the securities and bonds. The second one focuses on the analysis of the business portfolio of a company and its impact on their econo-my results and income tax basic. Then, based on these impacts, the author propos-es a new portfolio that will optimize the economy results and income tax basis.
Vliv vybraných ukazatelů na trh dluhopisů v České republice
Oberfrancová, Romana
This thesis solves bonds and describes the bond market in the Czech Republic in terms of market size, structure of issuers and structure of investors. The thesis identifies variables that affect the profitability of Czech 10-year government bonds. Subsequently is developed an econometric model that describes the profitability of 10-year Czech government bonds on the basis of selected factors. The presumed facts will be verified by the help of regression analysis.

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