Return to search

Indikátory měnových a bankovních krizí / Indicators of currency and banking crisis

This diploma thesis focuses on indicators of currency and banking crises and examines their reliability. The analysis is performed on real economic events - the monetary crisis analysiswill be related to the crisis in Russia in 1998 and in the banking crisis we will examine events in Ireland in 2008-2010. In case of both crises we will try to make a strict definition because the economic literature nor any law regulation do not offer any, whereas for time series analysis is the determination of the outbreak and the end of the crisis crucial. We also look at the change in the understanding of the financial crisis, from the concept of monetary, banking and debt crises typical for the end of the last century and gradually transitioning to a comprehensive approach to the financial crisis as a systemic crisis that represents the current direction of economic thought. The main objective is to analyze the reliability of currency crisis and banking crises indicators on the example of selected economic events. We will try to follow the development of indicators within a few years and look for the development trend, predicting the impending problems. There are also described some methodological problems concerning the research of indicators of financial crises. In the end we will have a comparison of both countries and emphasize what they have in common and what is different.

Identiferoai:union.ndltd.org:nusl.cz/oai:invenio.nusl.cz:359564
Date January 2017
CreatorsKašpar, Jan
ContributorsRevenda, Zbyněk, Šíma, Ondřej
PublisherVysoká škola ekonomická v Praze
Source SetsCzech ETDs
LanguageCzech
Detected LanguageEnglish
Typeinfo:eu-repo/semantics/masterThesis
Rightsinfo:eu-repo/semantics/restrictedAccess

Page generated in 0.1409 seconds