National Repository of Grey Literature 4 records found  Search took 0.00 seconds. 
Risk Analysis for Important Factors of Firm Using Statistical Methods
Ochabová, Miroslava ; Žák, Libor (referee) ; Karpíšek, Zdeněk (advisor)
This diploma thesis deals with the analysis of financial indicators using time series, regression analysis and interval regression analysis of a selected company. The diploma thesis describes selected financial indicators, time series, regression analysis and interval regression analysis. Furthermore, the calculations of financial indicators for the selected company and the characteristics of the time series are performed. Individual financial indicators are subjected to regression analysis and interval regression analysis. Based on the performed analyzes, the company's risk factors are determined and recommendations for the improvement of the current situation in the company are proposed.
Assessing Selected Indicators Using Statistical Methods
Ochabová, Miroslava ; Novotná, Veronika (referee) ; Doubravský, Karel (advisor)
This Bachelor`s thesis focus is the assessment of financial indicators through time series and regression line of the chosen company. Theoretical part consists of definitions and mathematical calculations for the chosen financial indicators, regressions analysis, and time series. In the second part, the theoretical knowledge will be applied to the chosen company, starting with the calculations of financial indicators and applications of statistical methods thereafter. Finally, recommendations will be presented to try and help with the company`s situation based on the analysis made beforehand.
Risk Analysis for Important Factors of Firm Using Statistical Methods
Ochabová, Miroslava ; Žák, Libor (referee) ; Karpíšek, Zdeněk (advisor)
This diploma thesis deals with the analysis of financial indicators using time series, regression analysis and interval regression analysis of a selected company. The diploma thesis describes selected financial indicators, time series, regression analysis and interval regression analysis. Furthermore, the calculations of financial indicators for the selected company and the characteristics of the time series are performed. Individual financial indicators are subjected to regression analysis and interval regression analysis. Based on the performed analyzes, the company's risk factors are determined and recommendations for the improvement of the current situation in the company are proposed.
Assessing Selected Indicators Using Statistical Methods
Ochabová, Miroslava ; Novotná, Veronika (referee) ; Doubravský, Karel (advisor)
This Bachelor`s thesis focus is the assessment of financial indicators through time series and regression line of the chosen company. Theoretical part consists of definitions and mathematical calculations for the chosen financial indicators, regressions analysis, and time series. In the second part, the theoretical knowledge will be applied to the chosen company, starting with the calculations of financial indicators and applications of statistical methods thereafter. Finally, recommendations will be presented to try and help with the company`s situation based on the analysis made beforehand.

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