National Repository of Grey Literature 20 records found  1 - 10next  jump to record: Search took 0.00 seconds. 
Increasing the Company Competitiveness (Brewery Černá Hora a.s.)
Mirvaldová, Martina ; Meluzínová, Kateřina (referee) ; Zich, Robert (advisor)
The aim of this work is to create a concept that should strenghthen competitiveness of the company based on analyses of microeconimic and macroeconomic elements. This work further deals with evaluation of the current situation of company Brewery Černá Hora a.s. in the world of small and average breweries. Theoretical part describes knowledge about competitiveness and its strengthening. In practical part are these knowledge put in use. This work examines competitiveness of the company based on analysis of microeconimic and macroeconomic elements. Outputs from these analyses are used to create a concept, that should help the company increase the competitiveness.
Alternative Investments in the Contemporary Period of Low Interest Rates.
Zavadil, Marek ; Schindler, Jaroslav (referee) ; Rejnuš, Oldřich (advisor)
The subject of the diploma thesis is to evaluate the development in post-crisis years and to determine the impacts that affect the current financial investment environment in the USA but also its future and create the prerequisites for other risks, which the market can affect in the next perspective and influence the global development. On this basis, a portfolio of the mutual fund will be drawn up, according to the assignment of its manager with an alternative investment component, which can adequately complement it in the current period of low interest rates.
Factors affecting stock prices of major US insurance companies
Trepáková, Aneta ; Ducháčková, Eva (advisor) ; Fleischmann, Luboš (referee)
My diploma thesis is generally focused on factors affecting the stock prices of major insurance companies in the US insurance market. This thesis is divided into three parts; the first part gives us a detailed explanation of fundamental analysis, which can be used to observe the relationships between share prices and factors such as macroeconomic, sector or firm factors. Goal of the second part is description of the US insurance market and some trends in the insurance industry. The third part is the core of my thesis - there is an analysis of two major US insurance companies - AIG and Prudential Financial, Inc. and I analyse their stock prices in relation to the mentioned factors. So the aim of this diploma thesis is to analyse and explain the interrelationships between stock prices and these factors and to create the appropriate econometric forecasting models.
Strategic analysis of Hájek a Boušová Ltd.
Racovscaia, Iulia ; Boukal, Petr (advisor) ; Heřman, Jan (referee)
The purpose of this bachelor thesis is to carry out strategic analysis in order to evaluate the strategic position of Hájek a Boušová Ltd. (Ovocný Světozor) on Czech market and to formulate recommendations for its future development. At the beginning of the thesis, the author explains the concept of strategic analysis. Then focus is placed on the most well-known analyses of the company's external and internal environment. First, there will be implemented the analysis of the enterprise's macroeconomic environment, representing an environment that the firm can hardly influence, for example, legislative, economic, social or technological areas. Then an microeconomic analysis will be implemented. The last analyzed area will be the internal environment of the firm, which consists of classification of sources, VRIO analysis, financial analysis, portfolio analysis. Based on these analyses, it would be possible to identify strengths and weaknesses of the organization and its potential opportunities and threats. The benefit of this bachelor thesis will be the evaluation of the factors influencing development of the company Ovocný Světozor and the identification of its strengths and weaknesses.
Business cycle in Sweden, Switzerland and Poland during 2000-2015 and solving the recession phase
Hrúz, Dušan ; Czesaný, Slavoj (advisor) ; Dyba, Karel (referee)
The objective of master thesis is the examination of Swedish, Swiss and Polish business cycle in four key areas consisting of internal and external macroeconomic equilibrium, cyclical development indicators and financial stability during 2000-2015 period and analysis of fiscal and monetary policy with respect to anti-crisis measures. The pivotal hypothesis is that Sweden, Switzerland and Poland have managed to deal with Great Recession relatively better than other advanced economies. Theoretical section characterises chosen countries, explains fundamental terms and sets the research framework. The empirical part monitors business cycle by chosen indicators within internal and external equilibrium, cyclical development and financial stability, subsequently evaluates situation before the crisis outbreak and examines anti-crisis measures that have been taken. Empirical section is closed by SWOT which evaluates economic development during 2009-2015 period and serves as tool for main hypothesis verification.
Macroeconomic Analysis with Spatial Econometric Approaches
Macková, Simona ; Formánek, Tomáš (advisor) ; Tomanová, Petra (referee)
Spatial econometrics can bring a useful approach to macroeconomic analysis of regional data. This thesis delineates suitable cross-section data models regarding their geographical location. Neighbourhood relation is used for the analysis. The relation of neighbourhood among the regions is expressed using spatial weight matrix. We focus on spatial autocorrelation tests and introduce processes of finding a suitable spatial model. Further, we describe regression coefficients estimates and estimates of spatial dependence coefficients, especially method of maximum likelihood estimates. Besides illustrative examples we apply chosen basic spatial models on real macroeconomic data. We examine how they describe relation between household incomes, GDP and unemployment rate in western Europe. Results are compared with a linear regression model.
Alternative Investments in the Contemporary Period of Low Interest Rates.
Zavadil, Marek ; Schindler, Jaroslav (referee) ; Rejnuš, Oldřich (advisor)
The subject of the diploma thesis is to evaluate the development in post-crisis years and to determine the impacts that affect the current financial investment environment in the USA but also its future and create the prerequisites for other risks, which the market can affect in the next perspective and influence the global development. On this basis, a portfolio of the mutual fund will be drawn up, according to the assignment of its manager with an alternative investment component, which can adequately complement it in the current period of low interest rates.
Increasing the Company Competitiveness (Brewery Černá Hora a.s.)
Mirvaldová, Martina ; Meluzínová, Kateřina (referee) ; Zich, Robert (advisor)
The aim of this work is to create a concept that should strenghthen competitiveness of the company based on analyses of microeconimic and macroeconomic elements. This work further deals with evaluation of the current situation of company Brewery Černá Hora a.s. in the world of small and average breweries. Theoretical part describes knowledge about competitiveness and its strengthening. In practical part are these knowledge put in use. This work examines competitiveness of the company based on analysis of microeconimic and macroeconomic elements. Outputs from these analyses are used to create a concept, that should help the company increase the competitiveness.
Analysis of the trends, contexts and perspectives of the macroeconomic development of China in 1990 - 2014
Topor, Jiří ; Czesaný, Slavoj (advisor) ; Ševčíková, Michaela (referee)
The purpose of this diploma thesis is the analysis of macroeconomic development of China in 1990 - 2014 in four key economic areas: economic performance, financial sector, labor market and internal and external equilibrium. The main hypothesis is that China is not threatened by a hard-landing in the next few years. The theoretical part explains the basic terms and defines the research framework. In the empirical part is conducted the analysis of the selected indicators in that framework, consisting of internal and external equilibrium, labor market and demographic trends, financial sector, fiscal and monetary policies and additional growth factors. The result of the empirical part is the construction of a SWOT matrix. At the end there are proposed the recommendations for setting the future economic policy in China.
Strategic analysis of KMW, Inc.
Ly, Tuong Vy ; Boukal, Petr (advisor) ; Obergruber, Petr (referee)
The content of the thesis is a strategic analysis of the company KMV, Inc. for the period 2009-2014. The aim is to carry out a strategic analysis of the selected company. Based on a strategic analysis to evaluate the current position of the company in the market for beverages. Parts of this work are the detailed strategic analysis and internal réources. The strategic analysis contains of an analysis of macroeconomic, microeconomic and SWOT analysis. For analysis of internal resources the author used several tools to assess the performance of the company. These include horizontal, vertical analysis, ratios. In other parts were made bankruptcy and credibility models, comparison of the results of industry, economic value added (EVA). The last part is the optimal design of corporate strategy KMW, Inc..The end of the thesis was designed to evaluate the financial situation of the company, or to suggest specific measures for future development from the perspective of the owners.

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