National Repository of Grey Literature 96 records found  beginprevious87 - 96  jump to record: Search took 0.00 seconds. 
Financial analysis of concern Vienna Insurance Group
Kůs, David ; Ducháčková, Eva (advisor) ; Daňhel, Jaroslav (referee)
This thesis occupies with the financial analysis of the insurance institution Vienna Insurance Group. The theoretical part of the thesis is dedicated general characteristic of the insurance activities and risk management, specific accountancy of the insurance companies, problems of the solvency and the particular passages of the financial analysis modify on the insurance market. The content of the practical part of the thesis is the implementation of the concrete financial analysis.
Financial analysis of firm COM - TIP, s.r.o.
Vlasáková, Petra ; Holečková, Jaroslava (advisor)
The content of this bachelor thesis is to undertake a financial analysis of COM-TIP,s.r.o. for the years 2007 and 2008. The work is divided into two parts - theoretical and practical. The theoretical part deals with the financial analysis in general, its object and purpose, sources of information, users, methods and individual indicators. This theoretical knowledge is applied on particular company COM-TIP, s.r.o. in practical part, which provides an analysis of accounts, indicators of profitability, liquidity and solvency. Finally, I appraise the financial health of the firm based on scoring model. The conclusion summarizes all information obtained as evaluating the overall financial situation.
Financial analysis of the Saint-Gobain Vertex Litomyšl
Šedý, Petr ; Holečková, Jaroslava (advisor)
The aim of this work is to acquaint the reader with the company's financial situation, which is among the most successful in the East Bohemia. It is divided into two parts, theoretical and practical. The theoretical part briefly introduces the methods used by financial analysis, while in the practical part are included company's details and the whole analysis over four years (2005-2008).
The financial analysis of Hasičská vzájemná pojišťovna
Vaňková, Markéta ; Ducháčková, Eva (advisor) ; Daňhel, Jaroslav (referee)
The subject of the diploma thesis is financial analysis of Fire Mutual Insurance Company from the year 2004 to 2008. The thesis consists of two parts- theoretical part and practical part. The theoretical part describes acceptable methods of financial analysis of commercial insurance company. On the basis of specific activities of insurance companies are selected the typical indicators for insurance company. The practical part of the thesis is focused on the application of selected methods of financial analysis for the Fire Mutual Insurance Company.
The financial analysis of the company STUDENT AGENCY Ltd
Tychtlová, Eva ; Juríčková Heglasová, Andrea (advisor) ; Marek, Petr (referee)
This bachelor study is focusing on the financial analysis of the company STUDENT AGENCY Ltd during the period 2005 - 2008. This study is divided into two individual parts, the methodical and calculative part. In the methodical part there are defined theoretical bases for financial analysis, the sources and the methods, which are necessary for the financial analysis. In the calculative part there is introduced the company STUDENT AGENCY Ltd and then the methods of financial analysis are used. The results are closely analyzed in the text involved. In the end there is the evaluation of the whole financial situation of analyzed company.
Financial analysis of Buzuluk a.s., Komárov
Jedličková, Andrea ; Holečková, Jaroslava (advisor)
The aim of this bachelor thesis is to evaluate the financial health of the company Buzuluk, a.s. by using financial analysis. The work is divided into two parts, theoretical and practical. The theoretical part focuses on data source, methods and selected indicators of financial analysis. In the practical part, the knowledge is applied to a specific chosen company. A short company presentation is followed by analysis of the basic parts by using the financial statements for the period 2007 -- 2009. The conclusion summarizes the results and recommends measures to improve the situation in the future.
Financial analysis
Noswitz, Petr ; Eysseltová, Sylvie (advisor) ; Kotáb, Jiří (referee)
The goal of this work is compilation of financial analysis of MSA, a.s in years 2004 -- 2008. Work is divided into four parts: introduction, methodological device, application and conclusion. As input data are used especially publicly available annual reports of the company. In order to evaluate financial analyze, there are used calculations based on horizontal and vertical analysis, basic indexes, bankruptcy and site indexes, EVA etc. The conclusion consists of summarized financial analysis and situation of company and offers appropriate recommendations.
The financial analysis of Abner, a.s.
Čížková, Jana ; Holečková, Jaroslava (advisor)
The aim of Bachelor thesis is to evaluate the financial health of the company Abner, a. s. during the period of 2005-2008. From the position of an external user I evaluate financial position of the company. The thesis is divided into two individual parts. In the theoretical part are introduced theoretical bases for financial analysis. In the application part I closely look at calculation of particular indexes which I use for the evaluation of the financial situation in analyzed company.
The financial analysis of Čedok a.s
Horáček, Jiří ; Holečková, Jaroslava (advisor)
The object of the bachelor study "The financial analysis of Čedok a.s." is to discover the economy and financial position of the company. The study is focusing on profitability, liquidity and solvency analysis. The company is also being tested with several financial health methods and factor analysis. The most important information source is the company annual report.
Solvency II
Palátová, Helena ; Marek, Luboš (advisor) ; Lukášek, Josef (referee)
Tato diplomová práce je zaměřená na problematiku nového regulatorního režimu pro oblast pojišťovnictví - Solvency II. Představuje shrnutí současného vývoje a aktuálních dokumentů k této problematice. Cílem práce je představit připravovaný režim a na příkladě se simulovanými daty ukázat rozdíl ve výpočtu solventnosti pro životní pojištění podle stávajícího režimu Solvency I a podle budoucího režimu Solvency II. Práce je rozčleněna do tří hlavních tematických bloků. V první části (druhá a třetí kapitola) je stručný přehled současné situace v oblasti regulace pojistných trhů. Druhá část popisuje obecně navrhovaný režim Solvency II a poslední část obsahuje popis průběhu a výsledků výše zmíněného příkladu.

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