This bachelor thesis deals with the problem of securing payments and exchange risks in international trade. Financial derivatives, documentary letters of credit and documentary collection were selected as the main financial instruments for hedging. The aim of this work is to choose the most appropriate combination of these instruments for companies in a particular sector and economic areas. The second part of this thesis focuses on the Czech engineering company that uses all these financial instruments listed above for hedging. The company's strategy for exchange and payment security will be presented, based on the data of analysis. Following this strategy recommendation arises for other companies in this sector
The diploma thesis is focused on possible attitudes of the management of foreign exchange risk in in...
Bachelor thesis focuses on hedging interest rate risk by the use financial derivatives. The theoreti...
This diploma thesis deals with the specifics of foreign exchange risk management of small and medium...
This bachelor thesis deals with the problem of securing payments and exchange risks in international...
The diploma thesis deals with the process of exchange rate risk management, especially its part conc...
The aim of this bachelor thesis is to illustrate how enterprises deal with credit risk assisted by c...
The bachelor thesis focuses on the issue of exchange rate risk and the possibilities of its manageme...
This thesis is devoted to analysis of payment and hedging instruments used in international trade. T...
Bachelor thesis is focused on the foreign exchange rate risk and the possibility of its minimization...
This diploma thesis deals with hedging with financial derivatives in international business. It is d...
The bachelor thesis is primary focused on methods and possibilities of hedging currency risks, where...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
The aim of this diploma thesis is to theoretically describe the risks connected to entrepreneurship....
The aim of this bachelor thesis is eliminating the foreign exchange risk in the given company by usi...
The diploma thesis is focused on possible attitudes of the management of foreign exchange risk in in...
Bachelor thesis focuses on hedging interest rate risk by the use financial derivatives. The theoreti...
This diploma thesis deals with the specifics of foreign exchange risk management of small and medium...
This bachelor thesis deals with the problem of securing payments and exchange risks in international...
The diploma thesis deals with the process of exchange rate risk management, especially its part conc...
The aim of this bachelor thesis is to illustrate how enterprises deal with credit risk assisted by c...
The bachelor thesis focuses on the issue of exchange rate risk and the possibilities of its manageme...
This thesis is devoted to analysis of payment and hedging instruments used in international trade. T...
Bachelor thesis is focused on the foreign exchange rate risk and the possibility of its minimization...
This diploma thesis deals with hedging with financial derivatives in international business. It is d...
The bachelor thesis is primary focused on methods and possibilities of hedging currency risks, where...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...
The aim of this thesis is to explain operations with financial derivatives in the context of risk ma...
The aim of this diploma thesis is to theoretically describe the risks connected to entrepreneurship....
The aim of this bachelor thesis is eliminating the foreign exchange risk in the given company by usi...
The diploma thesis is focused on possible attitudes of the management of foreign exchange risk in in...
Bachelor thesis focuses on hedging interest rate risk by the use financial derivatives. The theoreti...
This diploma thesis deals with the specifics of foreign exchange risk management of small and medium...