The financial risks which are faced by companies in international business are defined in the theoretical part of the graduation thesis. The second chapter presents particular methods of credit risks management. The principles of financial derivatives, the motivation of derivatives trading and their brief history is approached in the third chapter. The last two chapters focus on practical example. The corporation Czech airlines, Inc. is presented in the fourth chapter. In the last fifth chapter the concrete used methods of financial risks management are defined
Globalization and growing economic integration within different geographic areas are the main factor...
Globalization and growing economic integration within different geographic areas are the main factor...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The financial risks which are faced by companies in international business are defined in the theore...
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
This thesis gives a structured view of the risks connected to the international trade and methods of...
The bachelor's thesis deals with methods of managing commercial risks in non-financial firms involve...
Doing business is always accompanied by risks. International trade usually brings new types of risk ...
This thesis deals with selected aspects of financial management of transnational corporations and de...
The growth of the international business offers the chance for companies to enter new markets in ord...
This bachelor thesis discusses possible commercial risks for commercial bank in international trade....
This diploma thesis deals with hedging with financial derivatives in international business. It is d...
The aim of the final thesis is to analyze the risk of trading with financial derivatives. The theore...
The objectives of the thesis are to describe financial derivatives in a theoretical way and the situ...
The essence and nature of financial risks are investigated. Their classification is conducted. The f...
Globalization and growing economic integration within different geographic areas are the main factor...
Globalization and growing economic integration within different geographic areas are the main factor...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The financial risks which are faced by companies in international business are defined in the theore...
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
This thesis gives a structured view of the risks connected to the international trade and methods of...
The bachelor's thesis deals with methods of managing commercial risks in non-financial firms involve...
Doing business is always accompanied by risks. International trade usually brings new types of risk ...
This thesis deals with selected aspects of financial management of transnational corporations and de...
The growth of the international business offers the chance for companies to enter new markets in ord...
This bachelor thesis discusses possible commercial risks for commercial bank in international trade....
This diploma thesis deals with hedging with financial derivatives in international business. It is d...
The aim of the final thesis is to analyze the risk of trading with financial derivatives. The theore...
The objectives of the thesis are to describe financial derivatives in a theoretical way and the situ...
The essence and nature of financial risks are investigated. Their classification is conducted. The f...
Globalization and growing economic integration within different geographic areas are the main factor...
Globalization and growing economic integration within different geographic areas are the main factor...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...