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Methodology of Financial Reporting of Securities and Financial Derivatives
Kuchař, Tomáš ; Basovníková, Marcela (referee) ; Beranová, Michaela (advisor)
This master’s thesis discusses the accounting of securities and financial derivatives in accordance with the Czech accounting legislation and the International Financial Reporting Standards. The goal is to suggest the methodology based on the performed analysis of differencies between the both accounting systems. The parts of the master’s thesis are the processing of the theoretical data, the analysis of differencies and their application to the case studies with the assessment of their influence on the basic indicators of the financial analysis.
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Hedging Interest Rare Risk by the Use Financial Derivatives
Hofmanová, Aneta ; Jonášek, Martin (referee) ; Rejnuš, Oldřich (advisor)
Bachelor thesis focuses on hedging interest rate risk by the use financial derivatives. The theoretical part characterizes financial derivatives, their division and description of each type of derivatives. In an analytical part is monitored development of interest rates in the Czech Republic, followed is analyzed the offer of Czech banks and their subsequent comparison. In the last part is suggested recommendations for company management.
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The application of finacial derivatives in bussines practise
Podhorná, Hana ; Kotík, Věroslav (referee) ; Meluzín, Tomáš (advisor)
The aim of this bachelor thesis is eliminating the foreign exchange risk in the given company by using financial derivatives. The thesis is divided to a theoretical and a practical section. The theoretical section is focused on the problems of foreign exchange risk, including a description of the main products and procedures that enable to manage these risks effectively. The practical section analyses the problem of exchange rate losses and evaluates the foreign exchange position of the company. The author tried to create suitable proposals for the possibilities of security. The conclusion of the thesis contains benefits that resulted from the obtained results of the given proposal.
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Elimination of the Exchange Rate Risk for Exportoriented Company
Pěček, Jan ; Trčka, Radek (referee) ; Režňáková, Mária (advisor)
This thesis is focused on elimination of exchange rate risks as well as on possible ways how to ensure the risk, considering actuall situation in the Czech republic and expansive economical crisis in the year 2009. Mentioned is an overview of possible financial derivates and methods how to adapt them to export-oriented company. The work also includes an outline of a question how far the situation would be changed after launching euro.
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Financial Derivatives in Praxis
Dalekorejová, Petra ; Sedlák, Petr (referee) ; Sojka, Zdeněk (advisor)
The subject of the Master thesis „Financial Derivatives in Praxis“ is the analysis of the all kinds of financial derivates.The first part of the thesis deals with the general description of the derivates. In the next part of the thesis analysis of individual spices of derivates and their dividing into interest rate derivates and currency derivates is made. The final, practical part of the thesis, is devoted to the practical using of derivates in the hedging interest rate and currency risk on specific examples of companies and the offer of hedging on the Czech financial market.
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Small investor view into comodity derivatives
Prokopec, Michal ; Tichá, Jana (referee) ; Sojka, Zdeněk (advisor)
This thesis deals with investing into commodity assets through financial and commodity derivates. In the first section there are introduced single commodities and their historical price trends. There are further analysed relevant financial products, their positives and negatives. Practical section carries out an analyse of current state of the commodity market and makes the prediction of the future development. Finally there are mentioned different sorts of risk investors recommendations.
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Financial instruments - securities
Skořepa, Pavel ; Novotný, Štěpán (referee) ; Meluzín, Tomáš (advisor)
This work deals with the tools of financial market. It is demonstrated to a reader, what is the financial market composed from, how it actually works and what are the characteristics of securities, why the securities are used, what are the advantages and disadvantages. We are going to focus on field of mutual funds, as a part of collective investment. Thanks to investment questionary is made a research to find out which strategy is prefered by citizens. We are going to suggest the optimal financial portfolio to this strategy by the program GRANT. We are going to use the fuzzy logic characteristic and we are going to show to the investor how can he choose the suitable invesment tools to his portfolio according to his requierements.
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