The aim of the diploma thesis is to analyze the selected banking sectors of the European Union, namely Germany and Italy. At the beginning, the basis of the theory needed for the understanding of the thesis is defined. Followed by the description of the risks borne by the bank and specific indicators sorted accordingly, it forms the first chapter of the diploma thesis. In the second part, the indicators are applied on the aggregated banking sector data. Within the specific time frame, the development of the indicator and its trend is analyzed with the emphasis on the causes of its most significant development. The conclusion of the thesis is devoted to the overall summary and comparison of the results obtained from the analysis of the banking sectors.
Identifer | oai:union.ndltd.org:nusl.cz/oai:invenio.nusl.cz:359709 |
Date | January 2017 |
Creators | Furda, Peter |
Contributors | Blahová, Naďa, Šíma, Ondřej |
Publisher | Vysoká škola ekonomická v Praze |
Source Sets | Czech ETDs |
Language | Slovak |
Detected Language | English |
Type | info:eu-repo/semantics/masterThesis |
Rights | info:eu-repo/semantics/restrictedAccess |
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