National Repository of Grey Literature 4 records found  Search took 0.01 seconds. 
Critical Analysis of Impact of Financial Crisis on the Global OTC Derivatives Market Regulation
Marek, Pavel ; Barva, Pavel (referee) ; Škapa, Stanislav (advisor)
Diplomová práce se zabývá regulací trhů OTC derivátů, které hrály zásadní roli ve vzniku a šíření světové finanční krize. Cílem této regulace bylo zmírnit následky krize a preventivně bránit opakování podobnýćh událostí v budoucnosti. Hlavní důraz je kladen na regulaci EMIR a Dodd-Frank Wall Street Reform v Evropě a USA.
Hedge funds: investment strategy and regulation
Ducháček, Michal ; Dědek, Oldřich (advisor) ; Čornanič, Aleš (referee)
Even though hedge funds account for a small portion of global investment funds, they have achieved a strong position in investment options for institutional investors in last two decades. Due to recent financial crisis and a fear of possible risks connected with hedge funds, regulators start to focus more on regulation of this industry. This thesis focus mainly on investment strategies of hedge funds and on regulatory efforts in the USA. Before the work describes this, it is necessary to define and specify them. Then some of common used investment strategies are introduced in order to better describe the unique role of hedge funds to reader. In the end, after funds are specified, the thesis can describe regulatory efforts and evaluate them. Key Words hedge, fund, regulation, Dodd-Frank, AIFM, strategy, risk, performance
Critical Analysis of Impact of Financial Crisis on the Global OTC Derivatives Market Regulation
Marek, Pavel ; Barva, Pavel (referee) ; Škapa, Stanislav (advisor)
Diplomová práce se zabývá regulací trhů OTC derivátů, které hrály zásadní roli ve vzniku a šíření světové finanční krize. Cílem této regulace bylo zmírnit následky krize a preventivně bránit opakování podobnýćh událostí v budoucnosti. Hlavní důraz je kladen na regulaci EMIR a Dodd-Frank Wall Street Reform v Evropě a USA.
Finacial crisis causes and some of the instituonal answers
Rys, David ; Koderová, Jitka (advisor) ; Kučera, Lukáš (referee)
This master thesis deals with causes and some of the main instituonal answers to the financial crisis of 2007-2009. The thesis also ppresents a brief historical overview of US financial crisis. The main aim of the first chapter is to decide whether the US historical crisis have something in common. The answer is that the past crisis really share something and the difference is rather in historical circumstances. The second chapter is dedicated to some of the financial crisis causes such as Community Reinvestment Act,Gramm Leach Bliley Act, Commodity Futures Modernization Act and also to the role of moral hazard. This thesis is of a firm belief that the only aspect that can be blamed is the phenomenon of moral hazard. The last chapter is focused on the main instituonal answers to the crisis. Dodd-Frank Act, Volcker rule, reorganization of derivative market, some of the changes in rating agencies regulation and also BASEL III consequences for capital requirements are all under the radar.

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