National Repository of Grey Literature 291 records found  1 - 10nextend  jump to record: Search took 0.01 seconds. 
Professional development portfolio by Eliška Petlanová
Petlanová, Eliška ; Thorovská, Alena (advisor) ; Zvírotský, Michal (referee)
Eliška Petlanová's professional development portfolio contains ten chapters. First part. The preface serves as an introductory text that carries through the entire work. The next part is a professional biography, which briefly describes the author in terms of professional knowledge. The following part of the professional essay deals with the issue of environmental education in elementary schools and the importance of school gardens. The Synopsis chapter of the book presents a title called What do children need most? The topic of this book is a good guide even for beginning educators. In the next chapter, a list of literature that can be beneficial for expanding knowledge in the field. The professional analysis of the pedagogic worker deals with the view of the educator and serves for the image of the educator from both a professional and a human point of view. In the chapter Case study of the school, there is an introduction to the Hradištko Elementary School, where the author works as a teacher and teacher's assistant during the preparation of her bachelor's thesis. The written preparation is processed in the afternoon held in the school group during the week in the spring. The bibliography and the list of sources list the titles and references that were used to develop the Professional...
Comparison of Stocks of Selected Tobacco Companies to Complement the Hedge Fund Portfolio
Kalmár, Martin ; Bílek, Michael (referee) ; Rejnuš, Oldřich (advisor)
This bachelor thesis focuses on complementing the portfolio of a hedge fund focused on the consumer industry with some of the stocks of the tobacco industry, according to the requirements of the management and the statute of the fund. The first chapter summarizes the theoretical and legal aspects of funds with a closer focus on hedge funds. Next, stock companies, fundamental and financial analyses are mentioned, after which methods of comparing companies and, last but not least, bankruptcy models are also defined. In the practical part of the thesis, the fund statute is first defined, according to which companies are selected, and then subjected to financial analysis and compared with each other with regard to the results. These companies are finally verified by the bankruptcy model. At the very end of the thesis, according to the results of the analysis, a customized solution of completing the hedge fund portfolio is made up.
Proposal to Supplement the Investment Portfolio of the Hegde Fund
Chlupová, Kristýna ; Bílek, Michael (referee) ; Rejnuš, Oldřich (advisor)
The bachelor thesis focuses its attention on the development of a proposal to supplement the investment portfolio of the hedge fund of by shares of the technology sector. The theoretical part of the thesis focuses on the possible functioning of hedge funds in the contemporary conditions of the Czech Republic, including a description of investment funds and legal aspects. The following section focuses on investing in shares and financial analysis, where an analysis of ratios, methods of intercompany comparisons are presented together with bankruptcy models. The beginning of the practical part is devoted to fund status and primary company selection. Suitable companies are further subjected to financial analysis, intercompany comparisons, and bankruptcy models. The conclusion of the practical part lies in the distribution of individual companies into the portfolio of the hedge fund, according to the results analyses achieved.
Design and Implementation of a System for the Management and Administration of Project Documentation in the Portfolio of IT Projects
Urbanová, Sára ; Jakuba, Miroslav (referee) ; Širáňová, Lenka (advisor)
The diploma thesis deals with the proposal for modification of the company's information system to support project management. This modification should facilitate, standardize and define how project documentation will be handled, where it will be stored and who will be responsible for its management. Therefore, the main task is to introduce and implement this solution in the form of a document library that will be assigned to each project page, as well as an approval process over the documents, a report to track the status and communicate this change to the IT organization at Garrett Advancing Motion. The theoretical background of the thesis such as project management and information technology to support project management is described at the beginning of the thesis. Based on these concepts, an analysis of the company, the actual design of the solution and an evaluation is then carried out.
Investments in Shares of Global IT Companies Through a Hedge Fund
Sinilkina, Anastasiia ; Bílek, Michael (referee) ; Rejnuš, Oldřich (advisor)
The bachelor thesis focuses on financial analysis of significant global companies operating in the field of Information Technology. The first part of the thesis discusses theoretical aspects of investing, particularly strategies of hedge funds and fundamentals of financial analysis of companies. The second part contains a description of the proposed fund and conducts analysis and comparison of selected companies. The third part presents a proposal for portfolio supplementation of the fund.
Art portfolio as a form of assessment of pupils in art education
Šindelová, Tereza ; Novotná, Magdalena (advisor) ; Kitzbergerová, Leonora (referee)
The thesis focuses on art portfolio as a didactic tool, form, use for reflective assessment of pupils in the teaching of art education at the first level of primary school. Theoretical part of the thesis generally describes the assessment of pupils in school education. Further focuses on the interpretation of concept of portfolio, on its various forms, types, and its use in school education. Then describes the concept of the subject Art education and ways of assessing pupils in the subject. Practical part of the thesis is based on the creation of pupil's portfolio in art education designed for reflection. The practical part aimed at the creation of a portfolio by pupils in the first year of primary education. Based on which the pupils were reflection on the artwork and the resulting drawings. The pupils were guided to be independent, creative and develop to metacognitive skills - such as the ability to self-reflect. Portfolios were created and reflected during the first semester of the school year. Artistic probe and work with reflective art portfolios was completed assessment of pupils for the purposes of the mid-term report card. Art portfolios did not contribute positively to develop pupils' self-reflection, but it also develops the pupils' other skills and competences necessary for their own...
International diversification and portfolio risk
KRÁL, Tomáš
The thesis analyses the relationship between international diversification and portfolio risk. The aim of the thesis is to construct and analyse a custom investment portfolio of selected international stocks and evaluate how diversification of these assets from different markets affects the overall portfolio risk. In the theoretical part, the basic terms are defined in order to understand this work. The practical part includes the German portfolio and the international portfolio which each consists of ten chosen stocks of companies that are traded on a stock exchange during the period from January 1, 2019 to January 1, 2024. Each company in the German portfolio was matched by a company in the international portfolio with a similar size of market capitalisation and business in the same sector. Then in the practical part the historical rates of return, historical values of risk, coefficients of variation, covariances and correlations of all stocks and historical rates of return, historical values of risk and effective boundaries of these two portfolios are calculated. Then the efficient boundaries are compared, the efficient boundary of the international portfolio achieved higher monthly historical rates of return at lower historical values of risk than the efficient boundary of the German portfolio. The results of this work are intended to serve as a tool to better understand the impact of international diversification on portfolio risk and may offer recommendations for investors on optimal asset allocation in an international investment environment.
Stock portfolio strategy and analysis of its return and risk
PERNÍK, Jan
This study focuses on stock portfolio construction strategies to identify optimal approaches for short-term investments and to assess the trade-off between risk and return. One of the five portfolios was constructed by analysing undervalued stocks using the discounted future free cash flow method, which is described in detail in the study. The paper compares the portfolios with their alternatives calculated by maximizing the Sharpe ratio. We evaluate the risk and performance of the portfolios using the Sharpe ratio, Traynor ratio, Jensen's alpha, and Information ratio to determine the effectiveness of the strategies and their applicability in real scenarios. Finally, we discuss whether optimization is a useful tool in portfolio construction.

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