National Repository of Grey Literature 558 records found  beginprevious523 - 532nextend  jump to record: Search took 0.00 seconds. 
Asset price bubbles of American markets - causes of their formation, impacts on the economy of the USA and world
Klimo, Ján ; Neumann, Pavel (advisor) ; Jelínek, Tomáš (referee)
The goal of this bachelor thesis is to identify the causes of the formation of asset price bubbles based on the observation of historic cases of price bubbles observed on the American markets, to show their impact on the economy and to project potential scenarios of the current financial crisis. The first chapter introduces basic psychological concepts of the formation of asset price bubbles and explains their macroeconomic implications. The second chapter focuses on specific American asset price bubbles. It applies the theoretical concepts from the first chapter, for each asset price bubble concrete causes and impacts on the economy are described. This section is concluded with a list of their common characteristics. The final chapter analyzes the current financial crisis. It explains its background, causes of the housing bubble and factors leading to its bust. The comparison of stock market crashes and housing market crashes serves as a basis for the projection of possible scenarios of the current financial crisis based on an empirical study of past banking crises. The author thereby presents potential development in five important economic areas: stock markets, housing market, real GDP per capita, unemployment and public debt.
The Icelandic economy in the time of the financial crisis
Fliegerová, Petra ; Stuchlíková, Zuzana (advisor) ; Jelínek, Tomáš (referee)
The thesis is focused on the Icelandic financial crisis in 2008. The analysis of the occurrence and the course of crisis are based on the model of a systemic financial crisis. After the long period of economic boom the Icelandic economy was hit by the severe financial turmoil. Iceland was prosperous and strong economy by that time. However, as a result of the oversized bank expansion and external conditions the economy had to face the collapse of the banking sector and the consequential crisis. The theoretical part describes the development of the approach to the financial crisis modeling and defines the factors eventuating in a crisis. The analytical part is firstly dealing with the pre-crisis period and the beginning of the crisis. Subsequently, the causes of the crisis and the government stabilization measures are analyzed. Furthermore, the co-operation with International Monetary Fund is mentioned. And in the last section the work illustrates the impacts of the crisis together with the status of current economic indicators.
The influence of the financial crisis on advertising expenditure volume
Michalcová, Anna ; Písař, Pavel (advisor) ; Zemplinerová, Alena (referee)
The main objective of my bachelor thesis is to analyze the possible influence of the financial crisis on advertising expenditures. The first part of the thesis compares several examples of theoretical approaches to the economics of advertising. The analytical part of the thesis investigates the impact of the financial crisis on advertising expenditures. I have performed the analysis on the example of the Czech Republic and USA, where it was possible to observe such an influence in advance. In the final part I apprise of a situation in several companies, and evaluate whether the financial crisis has affected their advertising expenditures.
Comparison of crisis in Czech Republic in years 1997/1997 and crisis in USA in years 2008/2009
Bolehovský, Petr ; Pichaničová, Ludmila (advisor) ; Maleček, Petr (referee)
This bachelors work compares the crisis in Czech republic in years 1997/1998 and crisis in USA in years 2008/2009. It firstly focuses on theoretical concept of financial markets and monetary policy. Then it describes Taylor rule, political cycle and money aggregates. Next chapter focuses on the causes of crisis in Czech republic and on factors that to started and prolonged this crisis. Next chapter focuses on the causes of crisis in USA and on factors that started and prolonged this crisis. This work points to differences and common signs of them. In the end it explains some mistakes that government and central banks should avoid in their policies.
Capital market and compare of the regulation and supervision in the Czech Republic and in the USA
Žemla, Martin ; Písař, Pavel (advisor) ; Ježek, Tomáš (referee)
Bachelor's thesis try to comprehensively describe the creation, development and functioning of capital market in the Czech Republic in the introductory part. It focuses on the integration of regulation and supervision of the financial market in the Czech Republic. It also mention the reasons for regulating the capital market. Describes the basic stages of the current development control system. It focuses on regulators and institutions operating in the U.S. market. In the next section compares the system of regulation and supervision of capital market and describes its advantages and disadvantages. Last but not least, the analytical part of work evaluat, on the basis of three hypotheses, the impact of regulation on the origins and conduct of the financial crisis. In conclusion, summarizes the development and tries to propose solutions in terms of regulation and supervision on the capital market, which would be most appropriate for the capital market.
Economic boom and fall of Baltic countries in 21. century
Filip, Michal ; Munzi, Tomáš (advisor) ; Štěpánek, Pavel (referee)
The focus of my work is to analyze the economic trend and development of the so-called "Baltic Tigers", from the beginning of the 21st century up to the present time. Here belongs the states of Estonia, Latvia and Lithuania. I'd like to concentrate on their mutual economic boom in detail, due to which they became an example for other successful transit economics, and also I'd like to depict the main cause of their GDP slump in the last period, which is related to the inception of the financial crisis. I'll be describing the situation in Latvia in particular, their unfavorable economic condition and future outlook. My paper holds forth on certain issues, such as reasons of the overheated economy, emigration, GDP negative accrual, short-term debts participation, increasing unemployment and social disturbance. In the closing part I'll try to outline possible economic forecast and solution of the actual matters.
Financial and economical crises in 20th century
Matušinský, Dominik ; Štěrbová, Ludmila (advisor) ; Zamykalová, Miroslava (referee)
The aim of my work is to analyze and describe three crises, which took place in last 50 years. The discussed are oil crisis that was caused by significant increase in oil prices, financial crisis in Southeast Asia, that grew up in a private sector as a result of fast liberalization of financial market and the crisis in Argentina that had roots in a long history of this country. By every crisis I described the genesis, the impacts and the solution or the end of the crisis.
Banking system in Ukraine
Vykhoreva, Iana ; Tuček, Miroslav (advisor) ; Witzany, Jiří (referee)
This thesis is about banking system in Ukraine.The aim of the work is to describe the present state of commercial and central banking. The key part of the thesis concentrates on financial crisis that is now in Ukraine.This part describe the influence of crisis on other fields of ukrainian economic.
Causes and consequences of current crisis in automotive industry
Valas, Jiří ; Halík, Jaroslav (advisor) ; Marciánová, Kateřina (referee)
This diploma thesis describes the main causes of the automotive crisis in the first half of 2009 and their influence on this industry in the world. It also shows the effort of selected countries to fight these consequences and to support the demand for cars. One section is also devoted to situation in Czech Republic and to one of the Czech supplier to OEM car manufacturers.
Crisis communication as an important tool of corporate management
Francová, Martina ; Antušák, Emil (advisor) ; Kopecký, Zdeněk (referee)
Theory-metodological part: definition of basic terms as corporation -- corporation surroundings, corporate identity and image; extraordinary incident, crisis situation, crisis, crisis management; brief definition of legislative-juristic environment. Definition of the term communications -- common aspects and types of communication. Crisis communication, analysis of available methods of crisis communication in a company, analysis of available tools of crisis communication in a company. Practical part: manual for crisis communication of a company applied in bank's environment.

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