National Repository of Grey Literature 16 records found  previous11 - 16  jump to record: Search took 0.01 seconds. 
Evaluation of the Economic Situation of the Selected Private Corporation and Proposals to its Improvement
Šebelová, Věra ; Trinity, Denisa Furdíková, obchodní ředitelka hotelu (referee) ; Hanušová, Helena (advisor)
The bachelor thesis evaluates the financial situation of a selected private corporation – Hotel TRINITY, s.r.o. – in the years 2014 – 2018 using methods of financial analysis. The thesis is divided into three parts. The first part describes the theoretical background, the second part briefly introduces the evaluated hotel and hotel industry as such, contains calculations of financial indicators and their analysis. Based on the obtained results, the third part formulates possible measures applicable to improve the financial situation of the company.
Evaluation of the Financial Situation of a Company and Proposals for its Improvement
Friedl, Pavel ; Klečka, Petr (referee) ; Luňáček, Jiří (advisor)
Bachelor’s thesis is focused on evaluation on the financial situation of the compane PROVEON, a.s. in the period of time 2013 till 2017 and then define ideas on the improvement of the currect situation. In the theoretical part there are defined important analyses and indicators of the financial analysis by which it is subsequently done analytic part ot the thesis. Analytic part of the thesis includes calculations which are displayed in the charts and graphs. Consequently is done overall evaluation of financial state of the company. In the conclusion of the thesis there are shown ideas for improvement of the current situation of the company.
Evaluation of the Financial Situation in the Company and Proposals to its Improvement
Unzeitigová, Kateřina ; Luňáček, Jiří (referee) ; Pavláková Dočekalová, Marie (advisor)
The bachelor thesis is focused on performance evaluation of the financial situation of Bawel s.r.o. in the years from 2012 to 2016. The work contains three parts. In the first part we find the theoretical basis which explains what is the performance of the company, the financial analysis and the characteristics of the selected methods. The second analytical part deals with the description of the company and it is assortment and calculations of selected indicators. In the last part, due to the calculated results, is about outlined proposals to improve the financial situation.
Evaluation design of civil airports effectivity indices
Novotný, Roman ; Janík, Radomír (referee) ; Veselý, Petr (advisor)
Introductory part of this thesis concludes the development of air traffic, division of airports in the Czech Republic according to the Ministry of Transport, according to the Law on Civil Aviation and according to the Coding of the airports (Requirement L 14). The aim was to realize theoretical definition and division of output and economic indicators. After that comes choice of appropriate airports from the European Union. The choice has been made on the basis of the number of check-in passengers at the airport in Prague-Ruzyně. Eight most suitable airports have been chosen from all twenty-seven member countries of the EU. The following step is comparative analysis of these chosen airports on the basis of specified output and economic indicators for the years 2005-2009. The year 2010 has not been included, because the chosen airports did not complete their annual reports, balances and statements of profit and loss. From these sources the values for calculation of individual indicators have been chosen. These indicators have been shown in charts, evaluated by means of graphs in Excel Programme and further they have been characterized in words. The aim of the thesis was also the evaluation and comparison of output and economic indicators of effectiveness and after evaluation, proposal of methods of evaluations has followed.
Analysis of company's cash flow and liquidity
HAVRAN, Tomáš
The aim of the thesis entitled "Analysis of liquidity and cash flow" is to analyze liquidity and cash flow of the company. The theories then apply in terms of the selected company. The first part of the thesis contains theoretical knowledge about cash flow, liquidity and bankruptcy and credibility models. It describes what is cash flow and its division. Furthermore, the preparation methods of the statement of cash flows and what is the difference between cash flow and profit. The following is a division of liquidity in the current ratio, quick asset ratio and cash position ratio. This thesis also deals with the definition of the concept of net working capital. At the end of the theoretical part describes selected bankruptcy and credibility models with calculation procedures. The second part deals with the analysis of liquidity, cash flow and bankruptcy and credibility models. For this purpose were used statements of the selected company VESAS, s.r.o. (balance sheet and statement of profit and loss). On the basis of these statements was prepared the statement of cash flows which was supplemented by additional indicators containing cash flow. Furthermore, all three types of liquidity were calculated and subsequently concluded that if the company has problems with the payment obligations. Based on bankruptcy and credibility models was rated financial health of the company.
The explanatory power of the indicators of financial health
KULÍŠKOVÁ, Michaela
The thesis is focused on the selected systems of indicators of bankruptcy models and credibility models, that are applied on the specific enterprise. On the basis of collected data from balance sheet and statement of profit and loss there is calculated the financial health during five year period and than the explanatory power of these systems of indicators is made, whether the used systems of indicaters have the same explanatory power of different.

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