National Repository of Grey Literature 4 records found  Search took 0.00 seconds. 
Cyprus banking crisis - changing approach to bank aid?
Černík, Jaroslav ; Loužek, Marek (advisor) ; Ševčíková, Michaela (referee)
The thesis focuses on Cyprus financial crisis which began in 2012 and on reform tools used by Cyprus government under the Economic Adjustment Programme in order to fix consequential fiscal and monetary imbalances in the economy. Thesis provides description of main factors leading Cyprus in the crisis and broadly analyses reform tools under the EAP. Thesis positively valuates government success in implementing EAP reform tools and describes way the program was financed. Macroeconomic indicators such as GDP, inflation, unemployment and external balance are analyzed and strong influence of reform measures mainly on development of unemployment and external balance is highlighted. Cyprus banking crisis is also a first case of using banks bail-in as a tool to fix financial market imbalances. Shortly discussed is role of Cyprus bank crisis in bail-out to bail-in paradigm change and possible influence of bail-in measures on creditors' behavior and stability of financial institutions.
Mechanisms for resolution of bank crisis
Pochman, Jiří ; Teplý, Petr (advisor) ; Cibulka, Jakub (referee)
This diploma thesis deals with mechanisms which can be used to resolve crisis of a bank. The first chapter introduces the reader to essential theoretical background and basis for following chapters. The second chapter describes and analyzes measures used by governments to support their financial sectors in 2008 -- 2012. The first part of third chapter deals with insolvency regimes for banks and general description of new recovery and resolution regimes. The other part of third chapter contains qualitative analysis of recovery and resolution regimes adopted by European Union member states in the form of BRRD. Final chapter analyzes on the sample of ten systematically important banks applicability of bail-in tool to resolution of their crisis.
Measures used to support financial sector under European Economic Recovery Plan
Pochman, Jiří ; Dobrovolný, Marek (advisor) ; Jablonský, Petr (referee)
This bachelor thesis deals with measures used by governments of EU member states to support their financial sectors in 2008 -- 2010. Firstly, the thesis examines reasons for the development of European bank crisis and theoretically describes main types of measures, which can be used to support financial institutions and so to solve bank or financial crisis. Secondly, the further part of the thesis deals with more detailed description of the measures used in EU and rules of European Comission related to conditions of their application. Final chapter contains the analysis of the measures used by EU member states with main focus on Ireland.
The international financial markets crisis
Varga, Lukáš ; Witzany, Jiří (advisor) ; Witzany, Jiří (referee)
This thesis is analyzing conditions which allowed the creation of the present financial crisis. In the first chapter I inscribe the view on the former types and models of crises. The second chapter deals with the progress of the crisis on mortgage market in the USA. Credit derivatives and structuralized commercial instruments are mentioned in the third chapter. In the fourth chapter I disassemble the transition of the mortgage crisis to the financial crisis. The fifth chapter is dedicated to the breakout into the global financial crisis which is followed by the description of the impacts in the sixth chapter. The last chapter is devoted to the future trend of the crisis and the estimated date of its end.

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