Možnosti investování na finančních trzích a tvorba portfolia
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dc.contributor.advisor |
Polách, Jiří
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dc.contributor.author |
Kuba, Martin
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dc.date.accessioned |
2012-03-09T02:01:47Z |
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dc.date.available |
2012-03-09T02:01:47Z |
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dc.date.issued |
2011-05-20 |
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dc.identifier |
Elektronický archiv Knihovny UTB |
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dc.identifier.uri |
http://hdl.handle.net/10563/14855
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dc.description.abstract |
Bakalárska práca sa venuje téme finančných trhov, ich rozdeleniu, účastníkom a jednotlivým nástrojom. Taktiež sa zaoberá základnými formami investovania, princípmi a zásadami, ktoré treba rešpektovať. V práci je spomenutá problematika diverzifikácie po-rtfólia a vysvetlené optimálne portfólio. Hlavným cieľom bolo uvedenie teoretických po-znatkov do praxe. Pomocou zadaného príkladu typického českého klienta, je zostavené ukážkové portfólio produktov na tuzemskom trhu ale aj portfólio tvoriace otvorené po-dielové fondy z celého sveta. Práca sa snaží poukázať na možné varianty využitia produk-tov, pri čo najväčšej efektivite pre investora. |
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dc.format |
67 s. (12 948) |
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dc.format.extent |
1270503 bytes |
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dc.format.mimetype |
application/pdf |
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dc.language.iso |
sk |
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dc.publisher |
Univerzita Tomáše Bati ve Zlíně |
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dc.rights |
Bez omezení |
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dc.subject |
Finančný trh
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dc.subject |
Diverzifikácia
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dc.subject |
Fond
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dc.subject |
Komodita
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dc.subject |
Cenný papier
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dc.subject |
Portfólio
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dc.subject |
Riziko
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dc.subject |
Výnosnosť
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dc.subject |
Financial Market
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dc.subject |
Diversification
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dc.subject |
Fund
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dc.subject |
Commodity
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dc.subject |
Security
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dc.subject |
Portfolio
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dc.subject |
Risk
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dc.subject |
Rate of Profit?
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dc.title |
Možnosti investování na finančních trzích a tvorba portfolia |
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dc.title.alternative |
Investment opportunities in the financial markets and creation of portfolio |
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dc.type |
bakalářská práce |
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dc.contributor.referee |
Král', Miloš |
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dc.date.accepted |
2011-06-07 |
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dc.description.abstract-translated |
Bachelor's thesis focus to the topic of financial markets, their segmentations, participants and their instruments. It also deals with the basic forms of investment principles and the principles to be respected. In this work is mentioned the issue of diversification, and ex-plained what is optimal portfolio. The main objective has been putting the theory into prac-tice. With the given example of a typical Czech client is compiled demonstration portfolio of products in the domestic market but also a portfolio forming of open mutual funds from around the world. This thesis seeks to highlight the possible variants of using mentioned products with the greatest efficiency for the investor. |
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dc.description.department |
Ústav financí a účetnictví |
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dc.description.result |
obhájeno |
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dc.parent.uri |
http://hdl.handle.net/10563/113
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dc.parent.uri |
http://hdl.handle.net/10563/220
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dc.thesis.degree-discipline |
Management a ekonomika |
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dc.thesis.degree-discipline |
Management and economics |
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dc.thesis.degree-grantor |
Univerzita Tomáše Bati ve Zlíně. Fakulta managementu a ekonomiky |
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dc.thesis.degree-grantor |
Tomas Bata University in Zlín. Faculty of Management and Economics |
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dc.thesis.degree-name |
Bc. |
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dc.thesis.degree-program |
Ekonomika a management |
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dc.thesis.degree-program |
Economics and Management |
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dc.identifier.stag |
22420
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dc.date.assigned |
2011-04-04 |
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utb.result.grade |
C |
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