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Teoretické a praktické aspekty řízení kurzového rizika ve středně velké firmě / Theoretical and Practical Aspects of FX Management in a Mid-sized Company

This thesis concerns with problematic of FX risk management in a mid-sized export-oriented company. The theoretic part of the paper explains fundamental and origin of FX risk and summarizes process of its management with emphasis on specifics of mid-sized companies. Further, selected hedging techniques and instruments are introduced. With employment of available statistics and analysis, main advantages and disadvantages of hedging are demonstrated. For practical application of theory presented, real data from mid-sized company are used. After analyzing financial and accounting statements, concrete risks arising from exchange rate volatility are identified. Finally, concrete recommendations for the management are offered, which could lead to lowering FX exposure and reducing impact of changes in exchange rates on economy of the firm.

Identiferoai:union.ndltd.org:nusl.cz/oai:invenio.nusl.cz:9343
Date January 2008
CreatorsJanová, Zuzana
ContributorsTaušer, Josef, Olšan, Ivan
PublisherVysoká škola ekonomická v Praze
Source SetsCzech ETDs
LanguageCzech
Detected LanguageEnglish
Typeinfo:eu-repo/semantics/masterThesis
Rightsinfo:eu-repo/semantics/restrictedAccess

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