The aim of this thesis is to explain operations with financial derivatives in the context of risk management by giving the example of the specific Czech company. The theoretical part of the thesis concentrates on the definition and initiation of the exchange rate risk and financial derivatives. In the practical part this theoretical knowledge is applied to the specific Czech company. Key factors affecting an exchange rate risk are identified along with recommendations to improve the company's risk management strategy
The diploma thesis is focused on possible attitudes of the management of foreign exchange risk in in...
The financial risks which are faced by companies in international business are defined in the theore...
The aim of my bacholor thesis is to characterize derivatives as a tool used to manage exchange rate ...
Předmětem této práce je objasnit fungování finančních derivátů v rámci řízení kurzového rizika na př...
The bachelor thesis focuses on the issue of exchange rate risk and the possibilities of its manageme...
This thesis deals with selected aspects of financial management of transnational corporations and de...
Bachelor thesis is focused on the foreign exchange rate risk and the possibility of its minimization...
Diploma thesis is concerned with foreign exchange risk management in terms of international trade. I...
The growth of the international business offers the chance for companies to enter new markets in ord...
The aim of the diploma thesis is to analyze the exchange rate risk, to suggest and demonstrate the p...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...
This diploma paper describes the process of managing of exchange rate risk in an export company. At ...
The development od international markets comes along with a price of risk changes in foreign exchang...
The thesis describes the issue of exchange rate risk in export and defines basic terminology as well...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The diploma thesis is focused on possible attitudes of the management of foreign exchange risk in in...
The financial risks which are faced by companies in international business are defined in the theore...
The aim of my bacholor thesis is to characterize derivatives as a tool used to manage exchange rate ...
Předmětem této práce je objasnit fungování finančních derivátů v rámci řízení kurzového rizika na př...
The bachelor thesis focuses on the issue of exchange rate risk and the possibilities of its manageme...
This thesis deals with selected aspects of financial management of transnational corporations and de...
Bachelor thesis is focused on the foreign exchange rate risk and the possibility of its minimization...
Diploma thesis is concerned with foreign exchange risk management in terms of international trade. I...
The growth of the international business offers the chance for companies to enter new markets in ord...
The aim of the diploma thesis is to analyze the exchange rate risk, to suggest and demonstrate the p...
The subject of this paper is exchange rate risk in the Czech Republic. This bachelor thesis is intro...
This diploma paper describes the process of managing of exchange rate risk in an export company. At ...
The development od international markets comes along with a price of risk changes in foreign exchang...
The thesis describes the issue of exchange rate risk in export and defines basic terminology as well...
The Master's thesis deals with management of the foreign exchange risk in international trade. Initi...
The diploma thesis is focused on possible attitudes of the management of foreign exchange risk in in...
The financial risks which are faced by companies in international business are defined in the theore...
The aim of my bacholor thesis is to characterize derivatives as a tool used to manage exchange rate ...