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Mechanismus průniku světové hospodářské krize do československé ekonomiky, její průběh a důsledky / The mechanism of the Great Depression's penetration into the Czechoslovak economy, it's course and consequencesHrdlička, Vojtěch January 2008 (has links)
This graduation thesis is dedicated to the description and analysis of economic development in interwar Czechoslovakia during the Great Depression. Firstly, political and economical changes which occurred in the world after the World War I and which had subsequently the main influence on the collapse of world's economy will be described. Also oppinions on possible causes of origin of this crisis will be summarized. The main scope of this graduation thesis is to describe and analyze the penetration of the Great Depression into the Czechoslovak economy, it's course and consequences that this crisis caused. The penetration of the crisis is observed in three different periods according to it's power. A significant part of this thesis consists above all with an observation of development of the macroeconomic indicators during the Great Depression in particular sectors of the Czechoslovak economy and their confrontation with the situation before the crisis. This thesis also addresses the question of social impacts of the crisis in Czechoslovakia. One part is also dedicated to comparison of the main economic indicators with other selected countries affected by the crisis.
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Manželská krize u klientů manželské poradny / Matrimonial crises by clients of marriage counselling serviceRataj, Pavel January 2011 (has links)
This diploma work is dealing with the phenomenon of matrimonial crises. In the introductory chapters of the theoretical part we are defining the main themes of this work - relationship, philosophy of marriage, crises and marital crises. We are concerned with the couples therapy, its history and selected approaches. One chapter is devoted to the developmental approach that gives the possibility to see marital crises as an opportunity to self-knowledge, personality growth or relationship advancement. Practical part is conceived as a qualitative research. Its main goal is to survey and explore marital crises that we observed in clients of marital consulting centre. We would like to offer a more generalized vision of marital crises. We would also answer the questions how does a marital crises looks like and what processes are going on. Our work is setting down the research goals and describes in details chosen methodology, research sample and the methods of collecting and processing the data. Research data were collected mainly in the half- structured interview that was completed by the observation of interaction styles and a technique of relationship sculpturing. The research results were processed with the help of the method of open coding that is part of the grounded theory. The data were analyzed,...
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Ekonomická krize ve vybraných zemích EU: Španělsko a Irsko / The Economic Crisis in Specific EU Countries: Spain and IrelandPříhoda, Pavel January 2010 (has links)
The thesis analyses and compares the economies of Spain and Ireland in the run up to and during the current economic and financial crisis. Firstly, the focus is on the pre-crisis period since the mid 90's, the causes and extent of the price bubble on the property markets, the caracter of lending boom and the indebtedness of the private sector. The end of the lending boom and conjuncture on the real estate markets in 2006-2007 had strong impact on real economy and the financial sector. Both countries currently pass through a three-level crisis: economic, banking and debt crisis. The aim of the thesis is to examine their causes, evolution and causal links. The paper also illustrates future perspectives of both countries in context of the membership in EMU and possible solutions to their current situation.
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Dopady svetovej finančnej krízy na ekonomiky USA, EU a Japonska / Impacts of global financial crisis on the economies of USA, EU and JapanSlosarčíková, Jana January 2010 (has links)
United States, European Union and Japan are the most important centers of the world economy. Each of them took a different path of economic development, each has different strengths and weaknesses and faces a number of specific problems. These problems are multiplied especially in times of an economic crisis and subsequent recession. This work, divided into four chapters, aims to theoretically and practically analyze the main causes and stages of the financial crisis, with emphasis on its development in three major economies. The first chapter, which deals with the theory of financial crises, is followed by the second one, where theoretical knowledge is applied to the development and course of the global financial crisis and provides an overview of specific short-term measures that the economies had to take in order to fight it. The third chapter analyzes the impact of the crisis on the basic macroeconomic indicators of the analyzed centers and the fourth one summarizes lessons that the economist and state representatives should learn from this experience.
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Krízový management EMÚ -- efektívnosť stabilizácie eura v časoch dlhovej a menovej krízy / EMU crisis management - effectiveness of stabilization of the euro at the time of debt and currency crisisMančáková, Linda January 2011 (has links)
The thesis analyzes measures adopted and applied by the EMU crisis management in years 2010 to 2012, that means at a time when debt and currency crisis was affecting the euro area countries the most. The main focus is dedicated to the rescue mechanism EFSF and expansive monetary policy of ECB as these crisis management tools were used for stabilization of the debt situation in Ireland, Portugal and Greece. Analyzing of these tools leads to assess their contribution to selected country and to European monetary union as a whole. The final part is devoted to possible solutions for the debt crisis and to the future of the eurozone and the common currency.
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Současná finanční krize a její dopady na malé podniky v ČR / Current financial crisis and its impacts on small enterprises in the Czech RepublicBrázdová, Jarmila January 2009 (has links)
The aim of my diploma thesis is not only theoretically describe the financial crisis as such, but it tries to handle a specific case study and tries to emphasize how these problems are solved in small firms in the Czech Republic. The work analyzes and at the same time solves the financial crisis in the global economy in general. These theoretical issues are then applied to the particular case of one of the many small businesses in the Czech Republic, which is engaged in foreign trade, sale and service of measuring techniques. My work tries to solve every impacts of current financial crisis to this company. It tries to outline possible steps and to propose solutions that may affect and reduce the impact of current financial crisis on small businesses in the Czech Republic.
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Islandská finanční krize / Financial Crisis in IcelandRosínová, Ivana January 2008 (has links)
The diploma work deals with the problems of financial crises, concretely with the Icelandic financial crisis in 2008. The main target of the work is to describe the course, the causes and the consequences of the financial crisis. The fundamental informations about the financial crises are summarized in the theoretical part. The descriptive part deals with the development of the icelandic economy before crisis and with the course of the financial crisis. The final part is devoted to the analysis of the icelandic financial crisis, for that is used the general model of systemic financial crises.
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Fiskalizace nákladů finančních krizí / Fiscalisation of expenses of financial crisesBuryánek, Pavel January 2008 (has links)
The main goal of this thesis is to describe and analyse methods, which were used by countries affected by the Asian financial crisis to resolve related problems and also analyse how these solutions affected public debt. For this purpose I chose three Asian countries, Thailand, Indonesia and South Korea. These countries have one in common, their governments decided to establish Asset Management company to resolve problems of bank sector. This thesis describes how they were successful in their aspirations and fallout of financial crises on choosen countries.
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Vliv asijské krize na pozici asijských tygrů v současné krizi / The influence of the Asian crisis on the position of the Asian Tigers in the current crisisBříza, Pavel January 2012 (has links)
The thesis examines the influence of the Asian crisis on the position of the Asian Tigers in the current crisis. The aim of the thesis is to identify the main reasons due to which these countries relatively quickly overcame the current crisis. The aim will be achieved by comparison of the reactions of Asian Tigers' economic policies on impacts of the Asian and the current crisis. The thesis is divided into three chapters. The first chapter sets out the main causes of the Asian currency and financial crisis, analyzes the course of crisis and its impact on Asian newly industrialized countries. The second chapter describes the economic development of the countries in the period between the crises. Stabilization measures taken under overcoming the Asian crisis are also evaluated in this chapter. Furthermore, the second chapter analyzes the economic policy of Southeast Asian countries, which in response to the Asian crisis began to accumulate huge amount of foreign exchange reserves. The countries contributed with their policies to the deepening of global imbalances, which are related to the emergence of the current crisis. The third chapter is devoted to the current crisis. As in the first chapter, there are explained the main causes of the crisis, described the course of the crisis in the Southeast Asian countries and then discussed the most significant stabilizing measures that helped to Asian Tigers to overcome the crisis.
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Rola morálneho hazardu vo finančnej kríze / The role of moral hazard in the financial crisisDemčík, Matej January 2012 (has links)
The financial crisis in the USA is due to its great consequences still considered to be current topic. Its causes were discussed and analyzed by many researchers, but mostly from the financial point of view. This thesis takes different approach and identifies the role of the moral hazard in the pre-crisis period. Moral hazard is very often underestimated and for many people uninteresting factor. Therefor, the thesis is divided into four parts, which present the theoretical background of moral hazard and bring up the importance and constant presence of it in today's world. The main part of this work is last chapter, which analyzes moral hazard in the causes of the financial crisis. Moral hazard played key role in the pre-crisis period when it was present at all possible levels deforming the behavior of market players and causing the market failure. The deformation had mostly form of excessive risk-taking, unfavourable financial products and abuse of the information asymmetry. Very specific and dangerous kind of moral hazard is associated with the government interventions such as Greenspan doctrine or Too big to fail policy. It is because of its systematic character, when opposed to the moral hazard in the private sector is not required the presence of information asymmetry.
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