National Repository of Grey Literature 141 records found  beginprevious97 - 106nextend  jump to record: Search took 0.00 seconds. 
Influence of chosen effects on efficiency of beef breeds
WITZANY, Jiří
Influence of chosen effects on efficiency of beef breeds Aberdeen Angus, Charolais, Limousine and meat-type Siemental, which were breeded in South Bohemia, was observed in this study. Impact of breed on average weight of calves in different ages, calving month and the serial number of the birth, influence of father´s relative breeding value, dependence of average age of pure bred female on reason of elimination and effect of stocking rate of a pasture on daily weight gain were evaluated.
Development of mortgage loans in the Czech Republic
Cyprysová, Veronika ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
This bachelor thesis aims to describe development of mortgage loans in the Czech Republic. General description of mortgages is given in first parts of the work. Their characteristics, properties, history, hedging and also the process of mortgage lending are described. Basic concepts of mortgage bonds and credit risk management are defined. The empirical part contains analysis of the number of mortgages since the early nineties until now. The relationship between the quantity of mortgages and interest rate is described.
Development of trading in financial derivatives
Kos, Vilém ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
The aim of the thesis is to descibe the development of trading with financial derivatives, to estimate development in next years and to comparate czech market with foreign markets.
Investment products of ETF and CFD
Gordan, Branislav ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
Bachelor work describes two independent investment products, ETF (exchange traded funds) and CFD (contract for differences). My work is divided into two parts. First part describes function, and development of ETF. Second part includes information about CFD and their function, advantages and disadvantages. In the end, we can find comparison between these products. and prediction of their future on the stock market.
Application of Value at Risk method on market risk management
Vostatek, Jan ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
The bachelor's thesis is focused on the Value at Risk method which is widely used for management of market risk. Value at Risk is put in the whole risk management framework and it is explained its application on the two of three main ways of calculation. The thesis also deals with the role of Value at Risk in regulatory rules of European Union and possible future development of market risk regulation of financial institutions. Some chapters of the thesis describe the application of Value at Risk on economic capital allocation and setting limits on trading desks. At the end of the thesis Value at Risk is deeply evaluated in respect of all relevant information.
Mergers and acquisitions in the banking sector
Bobotová, Monika ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
This bachelor's thesis focuses on mergers and acquisitions in the banking sector, which represent an important investment activity of banks. The theoretical part of the thesis is dedicated to the general motives that lead to these activities, with a gradual inclination to the banking environment in the EU. Attention is also paid to the successfulness of these operations, from which the reader can become familiar with the results of observations, focused on five large European bank acquisitions. In a similar manner, further observations are applied to the Czech banking environment, specifically in three cases of bank mergers. The influence of the global financial crisis on these activities is mentioned in the last part of the thesis.
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.
Crisis in international financial markets
Mikitová, Ingrida ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
In my final thesis, I try to outline the issues of the crisis in international financial markets. The aim is to describe the important causes and catalysts which stand behind the recent global crisis. Work primarily refers to deficiencies in regulation and risky transaction, the decisions of people who are now looking for cure for infected economy. Much of the work deals with the analysis of the causes of the crises which had disastrous impact on the markets. The reader should be also be familiarized with the currently discussed reforms in the regulation and supervision of financial markets.
New investment products
Budka, Radek ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
The bachelor thesis discusses new investment products, focusing mainly on investment certificates. The first part outlines risks and benefits of investment certificates in general; the second part gives a more detailed and specific description of the different types of certificates. The thesis aims to provide a clear account of how investment certificates operate, as compared to underlying assets. The last part of the paper includes analysis of the Czech market together with the outline of potential future development of the rapidly growing segment in the financial market.
Option strategies
Čech, Petr ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
This bachelor thesis focuses on the analysis of option strategies with emphasis on practical aspect of the matter. At the beginning, there is brief introduction to theoretical basis of options, which is required for the advanced topics in this work. The following chapters concentrate mainly on the stock options, but the explained concepts can be used for options with another underlying asset as well. In the second chapter, various option strategies are discussed there. To a number of them, there is stated example from the real market situation. The next part accents the importance of implied volatility on option strategies. The last part briefly summarizes utilization of option strategies in diverse market situations.

National Repository of Grey Literature : 141 records found   beginprevious97 - 106nextend  jump to record:
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