National Repository of Grey Literature 47 records found  previous11 - 20nextend  jump to record: Search took 0.01 seconds. 
Taxation of financial institutions
Pražanová, Tereza ; Radová, Jarmila (advisor) ; Kábrt, Tomáš (referee)
The diploma thesis focuses on the financial institutions taxation. First part provides the analysis reasons for taxation and against taxation of financial institutions. Taxation of financial institutions in the Czech republic is analysed as well. Next chapter deals with theoretical concept of bank tax from J.M.Keynes and J.Tobina. This chapter is accompanied by the analysis of the bank tax variants. The third chapter topic is about the implementation of the financial transaction tax in the European Union. The end of diploma thesis deals with analysis of the bank tax in Great Britan, Sweden, Brazil and France.
Regulation of International Financial Markets
Talašová, Monika ; Taušer, Josef (advisor) ; Jurek, Martin (referee)
The dissertation focuses on different institutional models of financial regulation. It aims to ascertain whether any of the institutional models responds better to the current nature of financial markets.
The use of NoSQL databases in the environment of financial institutions
Stejskal, Jan ; Chlapek, Dušan (advisor) ; Bruckner, Tomáš (referee)
This work deals with the use of NoSQL database systems in an environment of financial institutions. The work has several objectives: to characterize the types of NoSQL database systems, for selected systems to analyze their properties, their potential use in financial institutions to develop proposals case studies for their use, and one of them select and implement a demonstration of the possibilities of using this type of database system in the specific environment of financial institutions. These objectives are to be achieved by providing a description and analysis of the theoretical part, practical part in designing, choosing, implementation, verification and acceptance of one case study - based on acceptances criteria. In the thesis are the basic concepts of database systems explained first. It is explained in more detail the concept of NoSQL and related terms including causes and genesis, classification systems NoSQL in each category. The next part contains a comparison of the characteristics of relational database - relational systems and NoSQL database systems. The next chapter deals with the needs of financial institutions in the context of the use of database systems. There are also analyzed the properties of several selected NoSQL database systems . The next chapter is based on the analytical findings from previous chapters devoted to finding poten-tials lu use NoSQL database systems in an environment of financial institutions, which is the basic theme of the thesis . The penultimate chapter contains a suggestions of case studies, one of which is selected and a description of the results of its implementation are described in the last chapter . The main contribution of this work is a contribution to the theory of NoSQL systems and the possibili-ty of their use by financial institutions, which take into account when choosing a database system, or a combination of database systems, in practical terms can lead not only to increase the efficiency of their use, but also to optimize the acquisition and operational the costs of such systems.
The specifics in terms of valuation commodity, cyclical and financial firms
Harazím, Jan ; Veselá, Jitka (advisor) ; Fičura, Milan (referee)
The aim of the diploma thesis is to compare valuation methods and models for individual companies operating in different sectors. Part of the thesis deals with the defining particular specifics of financial institutions, commodity companies and cyclical companies, followed by the application of the valuation methods and models, including the determination of the intrinsic value of the company. At the end of the thesis there is a final discussion about the findings and results.
Valuation of commercial banks
Gasymov, Sabukhi ; Hrdý, Milan (advisor) ; Stroukal, Dominik (referee)
The diploma thesis is dedicated to the valuation of commercial banks. The work is divided into seven chapters. The first chapter deals with the specifics of commercial banks for valuation purposes. The second chapter is devoted to describing different valuation methods. The third chapter analyzes the characteristics of the selected bank. The fourth chapter deals with financial analysis and strategic analysis, and financial plan of the bank in other chapters. The last chapter is the heart of the work, where the selected bank is being valuated. The conclusion summarizes the issue.
Financial knowledge of older people
JIRKOVSKÁ, Andrea
The aim of this thesis was to examine the financial knowledge of older people as a vulnerable group of the population of the Czech Republic. The respondents were asked about the field of financial institutions and products. Survey was conducted in homes and homes for the elderly in the town of Netolice and in a surrounding of this town
Codes of ethics in the sector of financial institutions
Rezková, Petra ; Vymětal, Petr (advisor) ; Lisa, Aleš (referee)
This thesis deals with the codes of ethics and their role in the financial organizations.The first part outlines the theoretical significance and function code of ethics, its characteristics, development, advantages and disadvantages. The second part continues with a more detailed examination of codes of ethics in the business and financial sectors, including the dismantling of the phenomenon of corporate social responsibility. The importance of the implementation of codes of ethics is illustrated on the example of the financial crisis in the U.S.. The aim is to assess the comprehension of current codes, and practical examples show the differences between ethical codes in specific organizations of the financial sector in the Czech Republic, and to draw conclusions for the creation of an "ideal" code of ethics, if one exists.
Report on Financial Stability 2012/2013
Česká národní banka
The report analyzes the risks to the financial stability of the Czech Republic in the near future on the basis of previous and expected developments in the real and financial sectors. The analysis is based on an advanced stress testing and economic models, augmented by a comprehensive test funding liquidity of banks. The report contains two alternative scenarios unfavorable development and testing of their impact on the financial sector. It contains four articles on the issue of financial stability.
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Financial system of the United Kingdom of Great Britain and Northern Ireland
Končický, Pavel ; Blahová, Naděžda (advisor) ; Brada, Jaroslav (referee)
This thesis deals with the financial system of the United Kingdom of Great Britain and Northern Ireland. The main area of interest are economic characteristics of the country, important sectors of the british economy, economic condition, and recession, which was started by the financial crisis. The thesis also concentrates on the very structure of the financial system of United Kingdom. The major part is mainly focused on financial institutions, specifically on the banking sector, including its historical development. In this thesis are described troubles of banking institutions after the outbreak of the financial crisis, also are described origins of these problems, their impact on the financial system and a many of measures that had to be established because of ensuring stabilization and protection of the brithis financial system. This thesis also deals with the insurance sector and british financial markets. The conclusion of this thesis describes the regulation and supervision in the United Kingdom and upcoming reform that will significantly changes the current structure of british regulation, the main aim is increased efficiency and prevent from repeating mistakes of the past.
IS audit in financial institutions
Ševčík, Petr ; Svatá, Vlasta (advisor) ; Kalina, Jaroslav (referee)
Concern of this thesis is a topic of an IT audit on financial institutions. These institutions are subject to severe regulations and considering their purpose -- to provide financial services, it has to be maintained unconditional security of both their information system and data. Therefore, financial institutions belong to the group of the most common customers of IT audit services. Opening part is dedicated to the relationship between financial audit and IT audit. Their history is described until present days. Both local and international contemporary legislation is also described. Then the COBIT methodology is introduced as main methodology concerning IT auditing. Finally, conclusions about relationship between financial audit and IT audit are presented. Following part of this thesis introduce essential requirements on financial institutions controls that are specific for this sector. There are several kinds of assurances and audit is only one of them, so the following part is dedicated to the introduction of each kind with description of their specifics. In the last, practical, part the IT audit checklist for financial institutions is worked out.

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