National Repository of Grey Literature 2 records found  Search took 0.01 seconds. 
Analysis of the OTC derivatives and their use in risk management
Neubauerová, Lucie ; Málek, Jiří (advisor) ; Radová, Jarmila (referee)
This bachelor thesis deals with the over-the-counter (OTC) derivatives. It discusses especially the development of their trade in the world and the possibility of using in risk management. The introductory part defines the basic concepts associated with derivatives, describes their history, classification and methods of statistical reporting. It briefly introduces the basic types of derivatives and the primary motives for using. The second part analyses developments of the OTC derivatives markets since 1998 to the present, including a comparison with the stock exchange markets. The content is also a detailed view of the break-even period before and after the outbreak of the global financial crisis. The last part is devoted to hedge risks through OTC derivatives. It Includes introduction to hedge accounting in terms of czech and international financial accounting and reporting standards and the conclusion is supplemented by specific examples of fair value and cash flows hedges.
Analysis of global derivatives´ markets since 2005 till 2009
Klečka, Ondřej ; Zámečník, Petr (advisor) ; Čámská, Dagmar (referee)
Bachelor thesis is about the problematic of development of world markets with financial derivatives since 2005 till 2009 (included). First part of paper is focused on potential derivatives' defining, introduction in dividing derivatives by various aspects, indicates deals of their statistic measuring, characterize the main types of derivatives. In the second part there is analysed the development of derivatives' markets in years 2005-2008 which was typical by strong economic growth till the financial crisis and economic recession (since second half 2008 till the end of 2009). Analysis is based on information and statistics from the Bank for International Settlements.

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