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Reakce Ruské federace na ukrajinskou krizi / Russian reactions over Ukraine crisisGalčenko, Andrej January 2015 (has links)
The text analyzes the reaction of the Russian Federation over the Ukrainian crisis and simultaneously confronts internal sources and causes of these reactions with own mental model and security and strategic culture of the Russian Federation. Given the application of theoretical and methodological concept, the work is divided into three chapters in order to acheive stated goals. The first chapter deals with the security paradigm of the Russian Federation. In this section, the main goal is to point out the fundamental historical factors that influenced the transformation of the security order in Eastern Europe and the implications of these factors on the foreign policy of the Russian Federation. The second chapter is focused on the reactions of the Russian state, which are examined in detail in terms of approaches and positions over the Ukrainian crisis. The third chapter agruse over the elements of hard and soft power, and determine cooperative or conflictual mental model along the lines of political and economic responses to the Ukrainian crisis.
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Velká deprese a Velká recese: role měnové politiky USA / A Great Depression and Great recession: The Impact of US Monetary PolicyKinský, Jiří January 2014 (has links)
The thesis analysis the primary causes of the Great Depression and Great Recession in the US. The author is looking for common signs of these crisis with special attention to monetary policy, which is considered as a crucial. The author aims to analyze economic and political measures that accompanied the crisis. The first part deals with the Fed policy including its origin, the roaring twenties, the stock Exchange crash, anti-crisis economical and political measures during the crisis and there is also written about the theoretical interpretation of the different schools of economics. The second part deals with causes of Great Recession, the government sponsored enterprises, the housing bubble or federal emergency programs. Further, it discussed the credit expansion and the Fed´s policy and in the end the author offers an comparison of both crisis and presents his own view on the issue.
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Právní analýza řízení uprchlické krize ve Spolkové republice Německo / Legal analysis on the management of the refugee crisis in the Federal Republic of GermanySikorská, Eliška January 2016 (has links)
This thesis analyzes the management of refugee crisis in the Federal Republic of Germany in relation to the applicable law of the European Union. In theoretical introduction, the thesis focuses on the definition of key concepts and the related areas of EU law. The second part is devoted to the policy of the Federal Republic of Germany led by Federal Chancellor Angela Merkel and the actions adopted. In the last part, these actions are analyzed in accordance with the main research question of this thesis, namely whether Germany is dealing with the immigrant crisis in accordance with the law of the European Union.
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Daňové příjmy obcí v době hospodářské krize / Municipal tax revenues in times of economic crisisŠpírková, Veronika January 2011 (has links)
This master's thesis addresses the impact of the economic crisis on the finances of selected municipalities. The first chapter provides a theoretical basis for the analysis. The basic types of municipal revenue are characterized here, main attention was paid to tax related revenues. In short it also defines the budget expenditure side of a municipality. The second chapter deals in general with the negative influence of economic situation on municipalities in the Czech Republic. The practical part of this thesis contains an analysis of the management of finances of selected municipalities Hlavatec, Sedlce and Dřítně between years 2008 - 2010. The analysis shows that the economic crisis was reflected particularly in the drop in tax revenues. However, none of the municipalities ran into financial problems due to the substiantial amounts of funds accumulated from previous years, and all were also able to meet their due financial obligations.
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Analýza dopadů globální finanční krize na bankovní systém Běloruska / Analysis of the impact of the global financial crisis on the banking system of BelarusPelaheika, Iryna January 2010 (has links)
In my thesis I define the main consequences that recent global financial crisis left on Belorussian banking system. In order to achieve my goal, as the first step I introduce the country's banking system, where I describe the main construction elements of Belorussian banking system, present its basic qualitative and quantitative characteristics. In the second chapter first I am going to present the basic information about financial crisis and its development from the international point of view. Then I focus on Belarus and its specifics. The third chapter is dedicated to the analysis of the specific impact of the crisis process and taken measures on Belorussian banks. Finally I evaluate found specifics of Belorussian approach to financial crisis as well as specific effects on Belorussian banks.
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Vliv eura na vývoj hospodářství a zadlužení v jižních státech eurozóny / Impact of euro on economical and debt development in southern countries of eurozoneŘíman, Václav January 2012 (has links)
This diploma thesis discuss the influence of the euro currency on economical situation and its development in Italy, Portugal, Greece and Spain. It is also concerned with the debt crisis which these countries are passing through. First, I analyze development of these countries in the last 20 years prior to entering the eurozone. After that, I focus on the fulfiling of Maastricht criterias and Optimal currency area theory, mainly the convergence of business cycles. Next chapter puts in place the questions of positive expectations, which should have be brought be the euro. In the fourth chapter the work shifts in time to the period after adopting the euro and it analyses the development of several macroeconomic values in the years 2001 - 2010 in southern countries. The results of these research are explained with focus on the influence of the euro. Last chapter concerns about the path of Italy, Portugal, Greece and Spain to the debt crisis, which peaked by the incapability of further finacing some of these countries. It research the possible effects of euro as well.
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Cílování inflace po finanční krizi / Inflation targeting after the crisisZůna, Zdeněk January 2011 (has links)
The subject of the presented thesis is the relationship between monetary policy executed within inflation targeting, asset prices and financial stability in the broader sense in order to identify key problems of the current approach and draw some conclusions on how inflation targeting could possibly further evolve. Flexible inflation targeting remained the best available monetary policy framework, despite some revisions are apparently needed. It turned out, that changes in the financial sector have much greater impact on economic activity, than previously thought, and which the new approach will need to take into account.
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Súčasná ekonomická kríza Španielska a jej dopad na obchod s ČR / Current economic crisis in Spain and its impact on the business with Czech RepublicŠvecová, Jana January 2011 (has links)
In the first part of my diploma thesis I analyze the reasons of the world economic crisis and I characterize Spanish economy. In the second part the reasons of Spanish economic crisis are analyzed with the focus on the main problems of the country, such as debt, rigid labor market, concentration on construction industry and real estate market. In the third part I describe the impacts of the crisis on the Spanish employment, external trade and I specify the measures and reforms which have been adopted by the new Spanish government. In the last part I try to find out whether the Spanish crisis has had some influence on business relations with Czech Republic and in which area this influence is visible. I also outline how the future relations between Czech Republic and Spain could look like.
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Vývoj hypotéčního trhu ČR a jeho změny v důsledku finanční krize / Development of the Czech mortgage lending market and its change due to financial crisisTvrdík, Lukáš January 2012 (has links)
The thesis is focused on mortgage lending market in Czech republic. The main objective is to analyze the complete development of the market and evaluate the impact of financial crisis. Thesis also discloses the main factors, that can cause an impact on mortgage credits demand and points out the significance of the mortage lending in the economy.
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Lisabonská smlouva - přínosy a problémy jejího uplatňování v letech 2010 a 2011 / Lisbon Treaty - The Benefits and Problems of its Enforcement in 2010 and 2011Bauer, Tomáš January 2011 (has links)
The subject of the thesis is an important document of our time - the Lisbon Treaty. The thesis is divided into three parts. The first part focuses on 10 years of evolution of the document helping to understand its final form. In the second part, the legal content of the treaty is described. The third and final part presents an overview of the first two years of Lisbon Treaty implementation, with most stress on the prevailing Eurozone debt crisis.
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