Risk has always been the concern of managers and shareholders as a part of decision-making processes. Managers tend to control unsystematic risk mostly while trying to minimize the exposure to systematic (market) risk. The paper aims to assess the risk level and risk-return tradeoffs for the companies operating in Czech automotive industry. A diversification formula and calculation of returns using return-on-equity were employed on the yearly basis from 2005 till 2014. The returns and risk calculations were conducted on the portfolio of auto manufacturers, followed by the portfolio of auto suppliers, while the third one was performed for suppliers and manufacturers taken together. The results of the study show that the average correlation c...
This paper examines the strategy of investing in selected East European stock markets: The Czech Rep...
Master's thesis in Industrial economicsIn this thesis an oil & gas equipment supplier’s business ris...
Portfolio optimization is the main concern for portfolio managers. Financial securities are placed w...
Risk has always been the concern of managers and shareholders as a part of decision-making processes...
Risk has always been the concern of managers and shareholders as a part of decision-making processes...
Stock exchanges are constantly prone to instability caused by asset bubbles. Risk level within the s...
Generally, risk is an uncertainty associated with future outcomes or events. In economic terms, risk...
This study aims to investigate the nature and sources of portfolio risks during normal as well as ab...
The work deals with the diversification of the stock portfolio. Diversification is the di-vision of ...
Background: The implementation of procurement concepts such as JIT or singlesourcing have resulted i...
This paper investigates the risk substance of newly established business in the Czech Republic. As t...
The possibility of choosing the optimal portfolio is traced on the example of automobile companiesНа...
A longstanding objective of managers is to reduce risk to their businesses. The conventional strateg...
Celem niniejszej pracy była analiza ryzyka McLaren Group Limited i ocena czy grupa dywersyfikuje swo...
Risk captured through the volatility of stock markets stands as the essential concern for financial ...
This paper examines the strategy of investing in selected East European stock markets: The Czech Rep...
Master's thesis in Industrial economicsIn this thesis an oil & gas equipment supplier’s business ris...
Portfolio optimization is the main concern for portfolio managers. Financial securities are placed w...
Risk has always been the concern of managers and shareholders as a part of decision-making processes...
Risk has always been the concern of managers and shareholders as a part of decision-making processes...
Stock exchanges are constantly prone to instability caused by asset bubbles. Risk level within the s...
Generally, risk is an uncertainty associated with future outcomes or events. In economic terms, risk...
This study aims to investigate the nature and sources of portfolio risks during normal as well as ab...
The work deals with the diversification of the stock portfolio. Diversification is the di-vision of ...
Background: The implementation of procurement concepts such as JIT or singlesourcing have resulted i...
This paper investigates the risk substance of newly established business in the Czech Republic. As t...
The possibility of choosing the optimal portfolio is traced on the example of automobile companiesНа...
A longstanding objective of managers is to reduce risk to their businesses. The conventional strateg...
Celem niniejszej pracy była analiza ryzyka McLaren Group Limited i ocena czy grupa dywersyfikuje swo...
Risk captured through the volatility of stock markets stands as the essential concern for financial ...
This paper examines the strategy of investing in selected East European stock markets: The Czech Rep...
Master's thesis in Industrial economicsIn this thesis an oil & gas equipment supplier’s business ris...
Portfolio optimization is the main concern for portfolio managers. Financial securities are placed w...