• Refine Query
  • Source
  • Publication year
  • to
  • Language
  • 704
  • 26
  • 9
  • 8
  • Tagged with
  • 747
  • 650
  • 497
  • 463
  • 357
  • 282
  • 194
  • 155
  • 122
  • 103
  • 102
  • 100
  • 98
  • 97
  • 91
  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
51

Finanční dopady rizik ve stavebnictví a jejich řízení / Risk in Costruction Industry: The Management and Financial Impact

Štěpánková, Vladěna January 2017 (has links)
The present dissertation studies financial impacts of risks in the construction industry, providing one of possible ways of the risks expression and monitoring, through which they can be efficiently managed. Theoretical assumptions and selected methodology provided basis for an overall analysis of the Czech Republic construction market, identifying possible external risks sources including their processing and description. The present dissertation aims at finding major risks and assessing their financial impacts that pose threats to companies active in the construction sector, indeed a specific sector for doing business. These risks have been compiled in a Risk Catalogue intended as a guide for selected risks management. To elaborate on the risks identified, two specific companies have were selected, having provided their data (financial reports, accounts statements, number of projects contracted including their volume and type, personnel information, etc.), as well as key indicators they have been using. The dissertation outcome presents construction sector analysis and Risk Register compilation. The work clearly defines the procedure of the Register compilation, possibly to be used by construction companies with respect to recurrent activities and the risks involved. The Catalogue sorts risks in categories and defines their possible occurrence as well as their financial impact on the company. Furthermore, it presents their possible management, i.e. how they can be minimized or even eliminated, as well as necessary costs involved. Indeed, the costs have to be considered in the sense of financial impacts so that it does not result in covering risks with rather low financial impact.
52

Risk Management / Risk Management

Černák, Peter January 2009 (has links)
The Master's Thesis deals with the topic of risk management in a non-financial company. The goal of this Thesis is to create a framework for review of risk management process and to practically apply it in a case study. Objectives of the theoretical parts are: stating the reasons for risk management in non-financial companies, addressing the main parts of risk management and providing guidance for review of risk management process. A special attention is paid to financial risks. The practical part applies the framework created in the theoretical part on a case study -- review/gap analysis of risk management process in a Czech non-financial companies operating in utilities. Risk management process in this company is described with a special attention to management of financial risk. Author's own remarks on the process and recommendations are stated in the practical part.
53

Revenue assurance: metodologie pro zajištění příjmů / Revenue assurance methodology

Mojžíšová, Michaela January 2006 (has links)
Práce se zabývá návrhem uceleného teoreticko-metodologického rámce nové podnikové funkce revenue assurance pro telekomunikační společnosti, které usilují o systematický a koncepční přístup k zajištění a maximalizaci příjmů. Popsány jsou role revenue assurance funkce v podniku, cíle, vývojová stádia. Dále jsou popsány hrozby a konkrétní podoby úniků a nadhodnocení příjmů. Podrobně je rozebrána metodika pro plnění úkolů revenue assurance a techniky pro eliminaci úniků a nadhodnocení příjmů. Práce obsahuje také výsledky empirického průzkumu funkce revenue assurance mezi telekomunikačními společnostmi v roce 2003 a 2004.
54

Revenue assurance: metodologie pro zajištění příjmů / Revenue assurance methodology

Filipová, Michaela January 2006 (has links)
Práce se zabývá návrhem uceleného teoreticko-metodologického rámce nové podnikové funkce revenue assurance pro telekomunikační společnosti, které usilují o systematický a koncepční přístup k zajištění a maximalizaci příjmů. Popsány jsou role revenue assurance funkce v podniku, cíle, vývojová stádia. Dále jsou popsány hrozby a konkrétní podoby úniků a nadhodnocení příjmů. Podrobně je rozebrána metodika pro plnění úkolů revenue assurance a techniky pro eliminaci úniků a nadhodnocení příjmů. Práce obsahuje také výsledky empirického průzkumu funkce revenue assurance mezi telekomunikačními společnostmi v roce 2003 a 2004.
55

Analýza rizik v mezinárodním podnikání na bázi studie skupiny Zodiac Aerospace / Risk ananlysis in international business - case study of a group Zodiac Aerospace

Šedivá, Hana January 2011 (has links)
Globalization and growing economic integration within different geographic areas are the main factors having impact on increasing number of companies involved in international business. However, due to recent economic turbulences on the international markets during the last years, this trend is associated with higher level of risk. To ensure the stability on the international market, the knowledge of the risks is an obligation. This thesis consists of two parts. The first part is theoretical and focuses first on the principle risks associated with the international business operations. Afterwards it presents the scope of the risk management and explains the main techniques of the risk assessment. The second part is practical and its goal is to illustrate the application of the techniques explained in the theoretical part on the environment of Zodiac Aerospace group.
56

Řízení rizik v pojistné praxi

Dostálová, Tereza January 2014 (has links)
The diploma thesis deals with the risk management in the insurance practice. The thesis is divided into two parts -- the literature review and the empirical part. In the first section are identified risks endangering the insurance company in their business activities. There are described arrangements risks prevention and elimination. There are also given the basic risks quantification methods. The thesis also describes the system of risk management in Solvency II directive. Basic processes, procedures and methods of the risk management in AXA insurance company are described in the empirical section. In addition is performed a quantification of risks of the selected insurer. Based on this quantification of risks and the risk management analysis, there are suggested further methods and arrangements which may lead to improved risk management for selected insurer.
57

Projektový risk management / Project risk management

VONDRÁČKOVÁ, Anna January 2018 (has links)
The aim of this master's thesis, entitled Project Risk Management, is to identify the risks of a particular project, to analyze them and to propose measures to reduce or eliminate them as much as possible. The thesis is divided into theoretical and practical parts. The theoretical part introduces the basic professional terminology, as well as the individual phases of the project management, and emphasis is placed on presenting the project risk management process. The findings from the theoretical part are then applied in the practical part. This practical part introduces the context of the project of building a community center on the Rusinga Island and its output is an identification of risks, risk analysis and also a proposal of preventive measures of the risks of this project.
58

Analýza rizik projektu realizovaného Studentským klubem projektového řízení při VŠE v Praze / lysis of project risks in the Student organization of project management at the University of Economics, Prague

Šabatková, Martina January 2014 (has links)
Masters thesis is focused on risk management of a particular project in the Student club of project management which was founded by students of the University of Economics in Prague. The theoretical part describes the basic definition and principles of project management including each particular step of the risk management process. The methodological part includes main methods used for collections of the data and analysis of risks. The Masters Thesis objective is to identify and analysis absences of the risk management of the project. The main contributions of the Thesis is the draft of risk management process. The proposals implementation would be helpful for other teams of the organization to manage the risk in their projects more efficiently and would support improving members knowledge of project management.
59

Metodika tvoby registru rizik IT / Methodics of creating risk register IT

Svěcený, Jan January 2012 (has links)
Nowadays risk management is an essential part of project management. It is necessary to identify, analyze, registr and respond to risks. They have to be assesed by means of the probability of their occurence and their final impacts. One of the tools for risk and response management and for keeping the evidence is risk register. This study will compare different theoretical approaches to risk management (e.g. based on PRINCE2) and based on the comparison a template for risk register and related user guide for different IT project environments will be derived. The study will have two parts: the theoretical part will introduce the issue and analyze different methods; in the practical part will be compared these methods and the template for risk register will be derived together with the user guide.
60

Rizika spojená s marketingovými aktivitami / Risks Related to Marketing Activities

Chnápko, Martin January 2017 (has links)
This master´s thesis applies to identifying and rating risks connected to competitiveness of Kellys bicycles company that operates in the area of constructing and selling bicycles. Theoretical basis consists of scientific knowledge from marketing, market, risk analysis and rating. Analytical part consists of company introduction, analysation of company´s external environment and analysation of activities related with marketing. Last part of this thesis is focused on offers in minimasing risks of company´s activities.

Page generated in 0.0288 seconds