National Repository of Grey Literature 538 records found  beginprevious478 - 487nextend  jump to record: Search took 0.00 seconds. 
New regulation of financial markets
Pokorný, Tomáš ; Munzi, Tomáš (advisor) ; Štěpánek, Pavel (referee)
In the entrance of my bachelor's thesis I'm going to try to determinate and divide financial market, explain expresions regulation, supervision and generall aims of the regulation and supervision of financial markets. I will be finding out why the world resorts for even bigger and more rigid regulation of financial markets, who seeks the most for the regulation or on the other hand who is afraid of it. Whether one of the reason of crisis was or was not lack of the regulation or if it was moral hazard and principles is still the big theoretical-practical issue. Whereas particular grouping such as United States of America and Eropean Union have different imagination how the regulation of financial markets should look like and that's why I will be interested in these individual concepts. The aim of my bachelor's thesis will evaluate new concepts of regulation provision.
The chinese currency development against USD
She, Weiqi ; Žamberský, Pavel (advisor) ; Suchá, Tereza (referee)
The analysis between chinese currency and US currency (USD)is based on the argumentation from both sides. from the aspect of bilateral-negotiation ,the appreciation of RMB could be a positive sign for both countires or even for the whole world free trade system.
Real estate markets in USA, EU and Czech republic in the context of the economic crisis
Rerko, Filip ; Abrhám, Josef (advisor)
This thesis describes the impacts of the current economic crisis on the real estate markets in USA, EU and Czech republic.
Causes, course and consequences of present financial crisis and its effect on the Czech republic
Šíma, Ondřej ; Korbel, Jiří (advisor)
The bachelor thesis is focused on financial crisis which began almost three years ago in the USA when the real estate bubble burst. The main goal of this treatise is to explain the most important events that had happened before the burst and led to contemporary problems. It is written in a understandable way. However, everybody can obtain some useful information about crisis and discover that it has been happening on and off since the world became more smaller due to globalization. The thesis is divided into three central chapter. The first one shows us causes of the "big bang" on the american real estate market. It also describes very frequently used term securitization and policy of FED. Morever, we mention symbiotic relationship between China and the USA. The second part clarifies the situation after the burst and briefly refers to visible impacts that will influence our future. I would like to point out the importance of Sovereign Wealth Funds in next years. The last part concentrates on the Czech Republic. Our attention starts at the description of the Czech economy before the crisis, then we go on to crystallise the behavior of our currency CZK during year 2008. The Czech public finance come up at the end.
Ternination of companies
Cernusca, Gabriela ; Smrčka, Luboš (advisor) ; Malý, Tomáš (referee)
The current financial crisis and its impact on the termination of the companies in Czech republic.
The financial analysis of Trevos Kostalov, s.r.o.
Kvarda, Petr ; Synek, Miloslav (advisor) ; Beneš, Jiří (referee)
The aim of my dissertation is examination a general financial situation of the company with classic structure more focused on aplication of creditworthy and bankruptcy models. In the end of my thesis is examinating the company in times of financial crisis.
The products for the appreciation of the money provided by banks in the ČR
Krotil, Lukáš ; Votava, Libor (advisor) ; Král, Pavel (referee)
The aim of this thesis is to analyze and describe products which are provided by the banks in the Czech republic. The main attention is focused on evaluable the products like the mutual funds, the buildings savings and the life insurance. It compares the products from the term of performance, risks and liquidity and even between the different banks.
The Analysis of KBC Group's Development
Radová, Jitka ; Dvořák, Petr (advisor) ; Kalivoda, František (referee)
The analysis of reasons, side effects and consequences of the global financial crisis in relation to KBC Group. Analysis of profit evolution of KBC Group as well as particular business units. The other indices of financial health - credit ratings, the share price, solvency. The analysis of the strongest effects on the profit decline - CDO, US and Icelandic banks, decline of prices of shares. Comparison of the closest competitors - Société Générale and Erste Group.
Financial stability, forms of its monitoring, reporting and assessment
Polášková, Lucie ; Půlpánová, Stanislava (advisor) ; Hradil, Dušan (referee)
This thesis deals with questions of financial stability in financial systems, monitoring, analyzing and assessment of financial stability from views of various national and international financial institutions. Enhanced attention is paid to the role of central bank in the area of financial stability. Central bank plays significant role in practice of monetary policy, regulation and supervision, prevention of financial instability and financial crisis solution. In this work is also mentioned Financial stability report issued by Czech National Bank and various reports issued by international institutions (e.g. BIS, ECB, IMF). These international institutions exercise activities to the support of financial stability. Thesis deals closely with instruments of assessment of financial stability. These instruments are indicators of financial stability and stress tests.
Financial crises, identification, causes and precautions
Valeš, Tomáš ; Půlpánová, Stanislava (advisor) ; Hradil, Dušan (referee)
The main goal of this paper is to provide complete view about financial crises. Paper is di-vided into the six chapters whereas we explore the definition of crises, than history, causes, indicators and anti-crisis precautions. In last chapter we apply all theoretical observations to case study of Nordic banking crises from the beginning of the 90s in last century. We can't expect the crises to vanish completely because they are natural part of both finan-cial system and whole economy but for which they are extremely dangerous too and that's why the crisis, when it breaks out, must be at every moment managed and under control.

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