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The Impact of the 2008 Global Financial Crisis on the Health of CanadiansOmar, Sabrina January 2015 (has links)
Despite a clear impact on the Canadian economy, little is known about the subsequent health impacts of the 2008 Global Financial Crisis (GFC). This thesis aims to fill this gap in knowledge by conducting a secondary analysis of Canadian Community Health Survey (CCHS) data to assess the impact of the GFC on health in Canada – a country that has not yet been thoroughly studied from this angle. Based on when the respondent completed the survey, exposure to the GFC was categorized into four phases: pre-crisis, crisis, stimulus, and austerity. Outcomes investigated include measures of mental health, physical health, and health-related behaviours. Statistically significant associations were observed between several health outcomes and the austerity period as compared to the pre-crisis period. Austerity has been linked to worsening health in other studies and represents an example of how the policy response can have greater detrimental impact on health than the financial crisis itself.
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The efficiency of monetary policy during the zero lower bound period / Efektivnost monetární politiky při nulových sazbáchMandok, Denis January 2016 (has links)
This thesis explores efficiency of monetary policy under zero lower bound condition. At first, is defined a role of monetary policy and criteria to judge the effectiveness of monetary policy are introduced. Then reactions of central banks of USA, Japan and Euro zone are explored. Thesis found out that monetary policy can be effective under a condition of zero lower bound. As last is introduced idea how to improve current monetary regime.
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Financování schodku státního rozpočtu prostřednictvím emise dluhopisů v České republice / Financing the state budget deficit through the issue of bonds in the Czech RepublicBauerová, Veronika January 2009 (has links)
This work deals with the financing of the state budget deficit in the Czech Republic through the issue of government bonds. There is listed the characteristics of each type of government bonds, the allocation of government bonds according to the type of instrument, by type of holder, and according to maturity and development in the years 1997 - 2008. It is also monitoring the impact of financial crisis on the market of government bonds mainly in 2008. The last part of this work is focused on the government bond market in the Slovak Republic for the purpose of comparison with the Czech Republic.
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Financial Crisis and Its Impact on Czech Republic / Financial Crisis and Its Impact on the Czech RepublicHallak, Kamil January 2008 (has links)
The purpose of my thesis is to explain step by step what caused the present Financial Crisis which the world is experiencing and its development. It is a preview to know how the crisis started rather than its affects. I will start my analysis with broad explanation and then narrow it down to concrete examples.
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Analýza příčin finanční krize / Analysis of causes of the financial crisisMachoň, David January 2008 (has links)
This thesis is about causes of the current financial crisis and it has four parts. 1st - description of evolution of the US housing market; 2nd - US mortgage market and the originate-to-distribute model; 3rd - evolution of the crisis and its spread into other markets and countries; 4th - proposals of main changes in the regulation and supervision in order to prevent similar crisis to happen
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Marketing in current financial crisis / Marketing v současné finanční kriziMariánek, Lukáš January 2009 (has links)
The paper is describing the effects of recessions and current financial crisis on companies and their marketing. The topic covers the history of marketing throughout the world biggest recessions and describes the current marketing efforts of Czech companies under the current financial crisis. A strategical analysis with the impacts of crisis on long-term strategy planning is provided at the end of the paper.
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České předsednictví Evropské unie a řešení finanční krize / Czech Presidency of the European Union and the Solving the Financial CrisisRozumová, Andrea January 2009 (has links)
This work is focused on the issue of the Czech Presidency of the European Union. It deals with the main priorities of the Czech Republic in this function. The priorities in dealing with global financial crisis are the heart of the work. Despite that the actions relating to the financial crisis have already been taken in the EU, there is still a risk of a slowdown in economic growth. The aim of the project is to analyze the ways in which the Czech Republic, as presiding state, will deal with a slowdown or even a decline in economic growth in European region and with the main steps leading to the recovery of financial markets and EU economy. There are specified macroeconomic and structural policies leading to strengthen growth potential of the country. In conclusion, there is evaluated present development in solving the financial crisis and outlined the trend for further development in Europe.
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Finanční krize ve světě - detekce, průběh, příčiny a analýza aplikovaných řešení / Financial crises, identification, causes and precautionsValeš, Tomáš January 2009 (has links)
The main goal of this paper is to provide complete view about financial crises. Paper is di-vided into the six chapters whereas we explore the definition of crises, than history, causes, indicators and anti-crisis precautions. In last chapter we apply all theoretical observations to case study of Nordic banking crises from the beginning of the 90s in last century. We can't expect the crises to vanish completely because they are natural part of both finan-cial system and whole economy but for which they are extremely dangerous too and that's why the crisis, when it breaks out, must be at every moment managed and under control.
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Finanční stabilita, formy jejího sledování, vykazování a hodnocení / Financial stability, forms of its monitoring, reporting and assessmentPolášková, Lucie January 2009 (has links)
This thesis deals with questions of financial stability in financial systems, monitoring, analyzing and assessment of financial stability from views of various national and international financial institutions. Enhanced attention is paid to the role of central bank in the area of financial stability. Central bank plays significant role in practice of monetary policy, regulation and supervision, prevention of financial instability and financial crisis solution. In this work is also mentioned Financial stability report issued by Czech National Bank and various reports issued by international institutions (e.g. BIS, ECB, IMF). These international institutions exercise activities to the support of financial stability. Thesis deals closely with instruments of assessment of financial stability. These instruments are indicators of financial stability and stress tests.
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Ekonomická analýza podniku Trevos Košťálov / The financial analysis of Trevos Kostalov, s.r.o.Kvarda, Petr January 2009 (has links)
The aim of my dissertation is examination a general financial situation of the company with classic structure more focused on aplication of creditworthy and bankruptcy models. In the end of my thesis is examinating the company in times of financial crisis.
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