National Repository of Grey Literature 537 records found  beginprevious444 - 453nextend  jump to record: Search took 0.01 seconds. 
Activity of the Czech National Bank in the Financial Market, Economic Stability in the Czech Republic at the Financial Crisis in 2008 and the Influence of This Crisis on Investment
ŽÁKOVÁ, Lenka
The financial crisis is a phenomenon that affected almost the whole world in 2008. This thesis deals with issues of the financial crisis in the Czech Republic. The thesis is divided into several parts. In the first part the financial crisis, its causes, and its course till affecting the Czech Republic is characterized. Furthermore, I assess the impact of the crises on the Czech economy and its development in 2008. In the next part I evaluate the impact of the crisis on the Czech investors in 2008 and I focus on the scope of the Czech National Bank. In the last part I think about solving financial crisis and I think about it, whether the financial crisis has a positive impact on the economy of the State.
Relationship risk - liquidity during financial crisis
Chovanec, Michal ; Paholok, Igor (advisor)
The main goal of the study is the analysis of relationship between share price changes and trading volume of the shares.
Set of Problems connected with Household Indebtedness at Economic Crisis Time
Březina, Dominik ; Bartošová, Jitka (advisor) ; Bína, Vladislav (referee)
The central theme is the analysis of the extent and structure of household debt and the current development of the ability to repay debts in a period of economic crisis. Bachelor thesis will focus primarily on analysis of the situation in the Czech Republic.
Financial crisis in Hungary
Blahút, Vlastimil ; Kuncl, Martin (advisor)
This thesis focuses on the causes, development and impact of financial crisis in Hungary. In the context of the global crisis, Hungary is a state, which is facing one of the deepest recession among OECD countries and desperately requested the financial assistance of international organizations. The first part of work includes an analysis of developments during the recession in the financial sector, from the perspective of public finance, corporate finance and capital markets of this economy. The second part is devoted to the question-form filled by Hungarian tourists in the Czech Republic. Followed by analysis and interpretation of the overall results, which are compared with my estimates. The research focuses on the perceptions and impact of the crisis on Hungarian citizens.
Impact of Financial Crisis to Budget of Třebíč Municipality
Helanová, Soňa ; Nováková, Štěpánka (advisor)
The bachelor final paper is engaged in observance of budget within time series 2007 -- 2009 in the area of receipts and expenditures. The measures due to financial crisis are described here, too. The paper is structured into two parts. First part - theoretical - covers clarification of terms related to the issue, such as status and competence of municipality, budget composition etc. Second part - practical - analyses the municipal budget within the time series, firstly from the receipts, and then from the expenditures point of view. Further the impact of financial crisis to the receipts in recent two years is analysed here.
Czech development cooperation and humanitarian aid
Perková, Markéta ; Šaroch, Stanislav (advisor) ; Pavlík, Petr (referee)
First chapter of this thesis is dedicated to the history, aims and principles of Czech development cooperation and humanitarian aid. The second chapter analyses the impact of the financial crisis on the amount of Czech aid to developing countries in comparison with other member states of EU. Furthermore, this thesis evaluates the coherence of Czech development cooperation with the principles of development policy of UN, OECD and EU concerning the effectiveness of development aid. The last part of this thesis describes the weaknesses of the Czech development cooperation and offers their possible solutions.
Comparation of influence of financial and economical crisis on national stock markets
Voldřich, Karel ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
The main objective of this thesis is to define how financial crises influenced different national stock markets, such as Czech Republic, Federal Republic of Germany and People's Republic of China. I compare movements and behaviour of american and national indices and thus I want to declare the influence. I look for parallels and try to find their explanation according to market characteristics. In theoretical part I discuss structure and characteristics of financial and stock market and using this knowledge I look for causes and describe the american financial crises. The image of consequence between chosen countries is at the end completed by statistical analysis. Graphs and pictures needed to illustrate the movement of stock indices are to be found in the thesis.
The comparison of development of a capital adequacy in chosen banks during the period of crisis in years 1997 and 2008.
Brázdil, Jan ; Dvořák, Petr (advisor)
This Bachelors thesis tries to introduce one of the most important indicator in banking sector -- capital adequacy. Text is aimed for a progress of a capital adequacy in chosen banks within Czech banking system during the period of crisis in years 1997 and 2008. Also it compares the steps taken by the banks in order to minimize negative impact of the crisis. Conclusion if steps in question were right or wrong is left for the reader. Analysis results from commonly known and available data and the assessment comes from the expected knowledge of a third class student of an University of Economics.
The management of banking system liquidity during financial crisis
Turjaková, Anna ; Brůna, Karel (advisor) ; Plíva, Rostislav (referee)
The goal of this bachelor thesis is the analysis of the liquidity management of banking system by central banks with emphasis on the Federal Reserve System (Fed) and the European Central Bank (ECB). The first chapter deals with standard approach to the management of liquidity in the pre-crisis period. Two next chapters focuse on unconventional measures introduced by Fed and ECB in connection with the financial turmoil from 2007 to 2009, including causes that led to these measures. The conclusion is devoted to the comparison and the evaluation of the steps taken.
Monetary and fiscal response to the financial crisis
Babušák, Martin ; Brada, Jaroslav (advisor) ; Osička, Štěpán (referee)
The thesis summaries and compares adopted measures in the area of monetary and fiscal policy in response to the financial crisis in years 2007-2010. In the area of monetary policy, the most important measures of Federal Reserve System and European Central Bank are summarised and compared. In the area of fiscal policy, the thesis sums up and compares the reaction of the government of the United States of America and the Federal Republic of Germany.

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