National Repository of Grey Literature 2 records found  Search took 0.01 seconds. 
Collateral use for financial derivatives
Nguyenová, Le Ha ; Baran, Jaroslav (advisor) ; Málek, Jiří (referee)
The bachelor thesis focuses on the topic of "Collateral use for financial derivatives". Collateral is used as a tool to mitigate credit risk in the financial derivatives contracts. The aim of this thesis is to analyze advantage and disadvantage of using the collateral, to describe different types of assets accepted and provided as the collateral and to explain the process called magrin call. The importance of using the collateral effectively depends on the well-negotiated contracts (the ISDA Master Agreement, CSD) and on the collateral management.
Collateral Management and its interception and support in information systems, financial institution
Dudek, Tomáš ; Faina, Michal (advisor) ; Zetek, Pavel (referee)
The main objective of this thesis is to capture and support for Collateral Management in the environment of financial institution. The thesis deals with general and practical description Collateral Management, realizaction collateral management, trouble banking institucion implemented through the parent banking institution, and aplicaton design Collateral Management. The main benefits of this thesis I find the introduction of Collateral Management and submitting information on IT application covering the Collateral Management, and a reminders types of financial markets, banking institutions and their risks.

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