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Analysis of U.S. and German government bonds from the perspective of Czech investor
Kábrt, Tomáš ; Mandel, Martin (advisor) ; Kuncl, Martin (referee)
This bachelor thesis is focused on investing in U.S. and German ten-year government bonds. The reader is first acquainted closer with these bond markets - their due date, by way of issue, coupon rate, etc. The second chapter deals with regression and correlation analysis of these instruments, taking into account exchange rate risks for the Czech investor. It also includes calculations of statistical indicators of location and variability. Based on the correlation coefficients examining the risks of creating a portfolio consisting of these two bonds. In the final chapter of this thesis deals with the application of technical analysis market in ten U.S. government bonds.

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