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Závisí ekonomická výkonnost od roku 2000 v ČR a ve vybraných státech EU na úrovni systému dohledu nad finančním trhem? / Does the Economic Performance since 2000 in the Czech Republic and other European States depends on the System of Financial Supervision?Tomková, Kateřina January 2015 (has links)
The objective of this diploma thesis is to process an analysis of financial supervision in the Czech Republic, Germany, Switzerland, Spain and Italy with special attention to banking industry which is the most influent part of the financial market in all countries. Besides this major analysis, the economic growth analysis for years 2000 to 2014 (2015) is made in every country. The very last step is a comparison of supervision systems and their connection to economic performance of countries. Conclusions bring the answer for my question: whether the economic condition (since 2000 until now) depends on the system of financial supervision in European countries. The theoretical part consists of chapters about the theory of national economy, financial markets, where there are basic theoretical concepts explained, market functions and market division. Last but not least, the theory of financial supervision is analyzed: what is the essence, legal framework, what is the supervision purpose and what are the goals of supervisors. Firstly, there should also be the theory of central banking but it does not make any sense to explain this theory here since central banks are not the main supervisor authorities of financial markets (except the Czech Republic, but also here the policies are separated). The practical part involves six subchapters, everyone is devoted to one state (the Czech Republic, Germany, Switzerland, Spain, Italy), the very last subchapter is about the comparison and analysis of results. In every state the history of financial market is processed together with institutional areas after 2000, legal framework and the analysis of supervision activity with special attention to capital, liquidity and resilience to shocks. European growth is analyzed according to GDP, inflation rate, unemployment, wage growth and GDP per capita in comparison with EU (28) and EA (19). The research brings the results that there is a connection between financial supervision and economic growth.
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Uplatnění statistických metod při posuzování vybraných ukazatelů společnosti / Application of Statistical Methods in Assessing Selected Indicators of a CompanyHodulíková, Eva January 2021 (has links)
The diploma thesis deals with the application of statistical methods in assessing selected indicators of the company ABC, Ltd. This work is divided into three parts. The first part explains the terms related to financial indicators, macroeconomic indicators, regression and correlation analysis and also, this part of the work explains the matters of time series. The second part contains an analysis of the current state. Individual analyses of indicators and their predictions are performed in it. Also, there is a research concerning the influence of macroeconomic indicators on the financial performance of ABC, Ltd. In The last part of this diploma thesis, changes are proposed that should lead to the improvement of the current situation of the company.
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Behaviorální aspekty ekonomických vztahů, organizací a marketingu v rámci Ruské federace / Behavioral Aspects of Economic Relations, Organizations and Marketing Within the Russian FederationRomášek, Štěpán January 2011 (has links)
Tato diplomová práce pojednává o politických, ekonomických a především sociálně-kulturních aspektech, které mají vliv na mezinárodní obchod, organizace a marketing týkající se Ruské federace, jež jsou dány do kontextu zejména s Českou republikou (eventuálně jinými relevantními státy). Cílem mé práce je nalézt překážky v obchodu s Ruskou federací a způsob jakým je možné je překonat. Důraz primárního výzkumu mé práce bude kladen na interkulturní složku, konkrétně na rozdíly v organizačním chování a chování spotřebitele. Zaměřím se na specifický profil potenciálních účastníků v oblastech marketingu a obchodu. Zohledním také znalosti z nashromážděných dat o politicko-ekonomickém prostředí zemí. Použitím vybrané metodologie rozšířím teoretické podklady a sekundární výzkum o nové poznatky a v širším kontextu vyvodím závěry a návrhy pro optimalizaci bariér, kterým firmy jsou rozšiřující pole působnosti do Ruska vystaveny a jimž mohou čelit.
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