The aim of this Diploma thesis is to describe and explain how to identify, quantify and eliminate negative effects of exchange rate fluctuation. Both internal and external methods of hedging are considered. A recommendation of an appropriate complex hedging strategy relating to a specific Czech technological company forms the second part of the thesis. This provides a guidance to practical use of the theoretical relations described in the first part
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...
Cílem diplomové práce je popis a vysvětlení způsobů identifikace, kvantifikace a eliminace působení ...
The diploma thesis deals with the process of exchange rate risk management, especially its part conc...
This diploma paper describes the process of managing of exchange rate risk in an export company. At ...
Bachelor thesis is focused on the foreign exchange rate risk and the possibility of its minimization...
This thesis describes hedging transactions against foreign exchange rate risk which is a significant...
The thesis describes the issue of exchange rate risk in export and defines basic terminology as well...
The thesis describes the methods of managing the exchange rate risk for the firms. It theoretically ...
The bachelor thesis is primary focused on methods and possibilities of hedging currency risks, where...
The bachelor thesis focuses on the issue of exchange rate risk and the possibilities of its manageme...
The goal of thesis is to clarify the nature of the exchange rate and interest rate risk and the poss...
The diploma paper offers a complex view on hedging of a foreign exchange risk in a concrete company,...
The development od international markets comes along with a price of risk changes in foreign exchang...
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...
Cílem diplomové práce je popis a vysvětlení způsobů identifikace, kvantifikace a eliminace působení ...
The diploma thesis deals with the process of exchange rate risk management, especially its part conc...
This diploma paper describes the process of managing of exchange rate risk in an export company. At ...
Bachelor thesis is focused on the foreign exchange rate risk and the possibility of its minimization...
This thesis describes hedging transactions against foreign exchange rate risk which is a significant...
The thesis describes the issue of exchange rate risk in export and defines basic terminology as well...
The thesis describes the methods of managing the exchange rate risk for the firms. It theoretically ...
The bachelor thesis is primary focused on methods and possibilities of hedging currency risks, where...
The bachelor thesis focuses on the issue of exchange rate risk and the possibilities of its manageme...
The goal of thesis is to clarify the nature of the exchange rate and interest rate risk and the poss...
The diploma paper offers a complex view on hedging of a foreign exchange risk in a concrete company,...
The development od international markets comes along with a price of risk changes in foreign exchang...
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...