Project information
Comparing Financial Markets Development in the Czech Republic and EU-Countries
- Project Identification
- GA402/02/1408
- Project Period
- 1/2002 - 12/2004
- Investor / Pogramme / Project type
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Czech Science Foundation
- Standard Projects
- MU Faculty or unit
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Faculty of Economics and Administration
- doc. Ing. Aleš Ševčík, CSc.
The financial markets represent an area that is changing very dynamically. The importance of financial markets for effective allocation of resources, corporate finance and overall economic development differs in various countries, even in the EU-countries. The implementation of a single currency increases importance of financial markets in these countries. The financial markets in the Czech Republic will have to go through important structural changes. The proposed research will focuse on an analysis of the current situation and on comparison of trends in development of the Czech financial markets with trends in EU countries after transition to EMU. It will be based on the evaluation of new events and processes that are under way on financial markets. The aim is to specify expected changes of financial markets and their necessary adaptation on the European integration proces. An important part of the project will be the application of financial market theoretical models in order to make clear an asset pricing process and obtaining funds through the Czech capital market. The next aim of this theoretical model application will be their exploitation for financial analysis, for prediction of development in seperate segments of financial markets, for financial strategy decision and optimalization of management. An introductory and final workshops are supposed to be organized. During the research work the partial solutions will be published. Finally, the summary report in English will be published.
Publications
Total number of publications: 77
2002
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Očekávané změny vývoje finančních trhů
Soubor příspěvků prací a výsledků vědeckovýzkomné činnosti učitelů Katedry financí, year: 2002
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Perspektivy rozvoje bankrotních / bonitních modelů v hodnocení výkonnosti firmy
2. společné mezinárodní symposium "Transition countries joining European Union", year: 2002
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Rentabilita a produktivita firem v ČR ve vazbě na cenu zdrojů
Vedecku zborník Ekonomickej Fakulty Univerzity Mateja Bela v Banskej Bystrici Acta oeconomica, year: 2002
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Role firemních obligací v perspektivě BCP Praha
Mena, bankovníctvo, finančné trhy, year: 2002
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Strategické faktory zadlužení firmy - modifikace U - křivky
Mezinárodní konference "Firma a konkurenční prostředí - Globalizace a změny konkurenčního prostředí před vstupem ČR do EU, year: 2002
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Tendence vývoje mezinárodního finančního systému
Zborník z medzinárodnej vedeckej konferencie Mena, bankovníctvo, finančné trhy, year: 2002
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The Development of Bankrupcy / Solvency Models
Finanse bankowošč i ubezieczenia wobec wyzwaň wspólczenošci, year: 2002
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The future trends of the financial systems
Karviná, year: 2002
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Účtování a oceňování dlouhodobého finančního majetku podle IAS
Ekonomické a adaptační procesy 2002, year: 2002
2001
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Analýza finančního systému a oceňování aktiv
Year: 2001, number of pages: 8 s.