National Repository of Grey Literature 7 records found  Search took 0.00 seconds. 
EMU crisis management - effectiveness of stabilization of the euro at the time of debt and currency crisis
Mančáková, Linda ; Bič, Josef (advisor) ; Abrhám, Josef (referee)
The thesis analyzes measures adopted and applied by the EMU crisis management in years 2010 to 2012, that means at a time when debt and currency crisis was affecting the euro area countries the most. The main focus is dedicated to the rescue mechanism EFSF and expansive monetary policy of ECB as these crisis management tools were used for stabilization of the debt situation in Ireland, Portugal and Greece. Analyzing of these tools leads to assess their contribution to selected country and to European monetary union as a whole. The final part is devoted to possible solutions for the debt crisis and to the future of the eurozone and the common currency.
Financial crisis
Petráš, Marek ; Moravec, Lukáš (advisor)
The work focuses on the approach of the financial crisis and specifically focuses on the monetary crisis in Czech republic in 1997. Discusses the theoretical causes and consequences of various types of financial crises. The focus of this work is analysis of the Czech republic as a transition economy during the years 1990 to 1998. Deals with a period of rebirth of centrally planned economy to a market economy, developing financial and capital market development as well as various indicators of economic transformation. The work will also focus on the critical year 1997 and the associated monetary crisis. Analyzes the decision of the Government and Central bank and their impact on country's economy.
The role of exchange rate regimes in monetary crises
Vránová, Jana ; Taušer, Josef (advisor) ; Černá, Iveta (referee)
This thesis is devoted to the role of exchange rate regimes in monetary crises. The first chapter elucidates basic terms concerning exchange rate, e.g. quotation, convertibility, central parity. In the second chapter there is every particular regime and its role in crisis described in detail. The term "monetary crisis", its reasons and consequences are explained in the third chapter. This is put into practise in the fourth chapter, which deals with the Czech crown's monetary crisis in 1997. The last chapter analyses the impact of the implementation of the supranational currency on the trend of the macroeconomic indicators.
Monetary crisis and state bankruptcy in Argentina
Kubíčková, Tereza ; Burgerová, Jiřina (advisor) ; Jílek, Josef (referee)
The Bachelor thesis analyses the issue of financial crises, the dominant theme is monetary crisis in Argentina. The first part focuses on theoretical causes of crises, possibilities of their prevention and attempts to anticipate coming economic problems. The work deals with the study of Argentina's systemic crisis in the second section. We can observe on historical emergence of economy and behaviour its representatives that country had conditions leading to depression for long time. The work tries to answer questions like whether government was able to avoid the crisis and why its economic incidences were so catastrophical. The extend of the adverse effects is shown on main macroenomic indicators by the help of tables and graphs.
Business background, Commercial usage, and Cultural specifics of Mexico
Burešová, Eva ; Zamykalová, Miroslava (advisor) ; Zýka, Václav (referee)
The first chapter of my bachelor thesis deals with the general characteristics of Mexico. The second chapter is about the economic situation and the next chapter characterizes the Mexican market. The aim of my thesis is to explain the overall framework about Mexico and to process the information about the economic and political background. I also characterize Mexicans and their culture by means of the Hofstede index and my own experience as well.
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.
Currency crisis in Argentina
Ryznar, Vojtěch ; Korda, Jan (advisor)
This work is divided into two sections: theoretical part and experiencial part. The first part is universal for many crises. There are described causes, course of the crisis and implicationes of the crisis. In the second part is described the whole currency crisis in Argentina. At first is described a history of Argentina. Next subsectiones are devote to the causes of the crisis and the situation after the crisis. In the final subsectiones are described relations with IMF, Argentina's currency board and implicationes of the Argentina's currency crisis.

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