European Financial systems 2016
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About this book

The conference was focused on common topics, such as accounting, taxation, financial markets, financial literacy, financial education, corporate finance, public finance, banks and insurance companies as well as on more specific areas, such as application of econometrics models, foreign investments and current trends related to economics, data processing and state policies.

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Yes, you can access European Financial systems 2016 by Jan Krají?ek,Josef Nešleha,Karel Urbanovský,Jan Krajíček, Jan Krajíček, Josef Nešleha, Karel Urbanovský in PDF and/or ePUB format, as well as other popular books in Economics & International Economics. We have over one million books available in our catalogue for you to explore.

Information

Table of contents

  1. CONTENTS
  2. Hedging of Natural Gas on Selected Markets (Luděk Benada, Dagmar Linnertová)
  3. Bankruptcies of Companies in the Czech Republic after New Financial Crisis (Karina Benetti)
  4. Would the Russian Economy Turn into a Lost Decade? (Miloš Bikár, Katarína Vavrová, Mariana Sedliačiková)
  5. Oil Price and European Stock Markets (Gábor Bóta, Mihály Ormos)
  6. Specific Factors of the Contemporary Development of the Czech Real Estate Market (Roman Brauner)
  7. Testing for Information Asymmetry in Automobile Insurance: Sample from Slovak Republic (Zuzana Brokešová, Erika Pastoráková, Tomáš Ondruška)
  8. The Limitations of E-commerce Development in Full Operating Cycle Firms: V4 Countries Case (Emilia Brozyna, Grzegorz Michalski, Guenter Blendinger, Ahmed Ahmidat)
  9. Optimising the Slovak Tax Policy and Tax System Performance (Emil Burak, Juraj Nemec)
  10. Comparison of the Efficiency of Selected European Banking Sectors (Liběna Černohorská)
  11. Investment in Renewable Energy Technologies from the Perspective of Polish Venture Capital Funds (Karolina Daszyńska-Żygadło, Tomasz Słoński, Magdalena Ligus)
  12. Sustainable Value Creation - performance of European Manufacturing Companies (Karolina Daszyńska-Żygadło)
  13. Systemic Risk Indicators in the Eurozone: An Empirical Evaluation (Oleg Deev, Martin Hodula)
  14. The Impact of Contingent Convertible Bond Issuance on Bank Credit Risk (Oleg Deev, Vlad Morosan)
  15. Hedging Case Study in the Exchange Rate Commitment Regime Environment (Jaroslava Dittrichová, Libuše Svobodová, Ivan Soukal)
  16. Influences on Consumer Rationality (Bohuslava Doláková, Jan Krajíček)
  17. Analysis of the Relationship between Taxes and Social Benefits and Transfers in the EU (Nadiya Dubrovina, Jana Peliova, Erika Neubauerova)
  18. The Role of Life Insurance in the Context of Cover the Needs of the People in the Czech Republic (Eva Ducháčková)
  19. Quality and Efficiency of Bank Branch Services (Vlastimil Farkašovský, Ľubomír Pinter)
  20. The Access to Instrument of Countercyclical Capital Reserves in the European Union and the USA (Luboš Fleischmann)
  21. Hedging of Portfolios and Transaction costs (Hana Florianová, Tomáš Dráb)
  22. Comparative Study of Banking Sector in Republic of Moldova and Czech Republic (Frunza Irina)
  23. Competitiveness Assessment of Slovak Republic Regions (Beáta Gavurová, Tatiana Vagašová, Viliam Kováč)
  24. Keynesian Model in Small and Medium Enterprises Development: Puzzling Case of Russian Regions (Maria Ginzburg, Nadezhda Yashina, Elena Ivanova)
  25. Pension-related Application of the Cohort Life Table (Ján Gogola, Ondřej Slavíček)
  26. Influence of selected environmental factors on the efficiency of commercial insurers (Eva Grmanová, Peter Hošták)
  27. Holdings of Government Bonds by Commercial Banks during the Financial and Debt Crisis in Europe (Vladimír Gvozdják, Božena Chovancová)
  28. Foreign Trade Finance: What is the Impact of the Global Financial Crisis of 2007-2009? (Peter Haiss, Franz Binder, Kushtrim Hajzeri, Wadim Kalmykov)
  29. The Influence of the Size of the Region on the Financial Situation of Hospitals (Taťána Hajdíková)
  30. Analysis of Various Entrepreneurial Activities and their Development in the Czech Republic from 2008 to 2015 (Eva Hamplová, Jaroslav Kovárník, Pavel Jedlička)
  31. Development and the Current Situation of the Mortgages for the Czech Households (Martina Hedvicakova, Libuse Svobodova)
  32. The Process of Harmonization of Accounting in the Czech Republic (Irena Honková)
  33. High-Frequency Trading and Price Volatility in the Paris Euronext Stock Market (Juraj Hruška, Oleg Deev)
  34. The Prediction of Economic Activity Growth by Sovereign Bond Spread in France, Germany and Great Britain (Jana Hvozdenska)
  35. Difference in Financial Knowledge of Finance Students in the Czech Republic (Barbora Chmelíková, Martin Svoboda)
  36. The Use of Financial Advisory in Czech Republic: Self-confidence (Věra Jančurová, Petra Formánková)
  37. Face Nominal Effect on Capital Market Transactions. The Case of Poland (Magdalena Jasiniak)
  38. Compensation for Income Lost – Long-term Effects on the Victim's Personal Finance (Anna Jędrzychowska, Ewa Poprawska)
  39. Crop Insurance as the Instrument for Risk Financing in Polish Farms (Monika Kaczala)
  40. The Influence of a Low Interest Rate on Life Insurance Companies (Silvie Kafková, Dagmar Linnertová)
  41. Impact of the REPO Rate on Commercial Rates in the Czech Republic (František Kalouda)
  42. The Interaction between Venture Capital and Innovation in Europe (Özcan Karahan)
  43. Preventing Crises in the Banking Sector and the Role of Internal Audit in Corporate Governance (Mária Klimiková, Martina Muchová)
  44. Mobile Technology on the Retail Banking Market (Monika Klimontowicz, Karolina Derwisz)
  45. The Role of Accounting Policy in Management of Polish Hospitals (Magdalena Kludacz-Alessandri)
  46. Revenue Efficiency in European Banking (Kristína Kočišová)
  47. Impact of Transfer Pricing Regulation on MNEs' Behaviour (Michal Kolář)
  48. The Electronic Record of Sales and Impact on the Reduction of Tax Evasion (Eva Kolářová, Eva Podolská)
  49. The Comparison of the Selected Aspects of Taxation in Visegrad Four Countries (Jaroslav Kovárník, Pavel Jedlička, Eva Hamplová)
  50. Alternative Investments in Voluntary Pension Security
  51. Impact of the Interest Rates in the Economy, the Banking and Financial System (Patrycja Kowalczyk-Rólczyńska, Tomasz Rólczyński)
  52. Accrual Accounting in the Army of Great Britain - Clarity, Transparency, and Accounting Data Analysis Options (Miroslav Krč, Vladimír Golik, Jana Vodáková)
  53. The Impacts of the Directive No. 2013/34 / EU Transposition into National Accounting Modifications in the Czech and Slovak Republic (Michaela Krejčová, Milena Otavová, Jana Gláserová)
  54. Current Issues of Accounting for Intangibles in Various Reporting Systems (Zuzana Křížová)
  55. Analysis of Financial Statements Focusing on Detection of Ponzi Schemes Using XBRL (Zuzana Kubaščíková, Zuzana Juhászová)
  56. The Success of Business Failure Prediction Using Financial Creditworthy Models (Michal Kuběnka)
  57. Stock Market Volatility in the European Emerging and Frontier Markets (Lumír Kulhánek)
  58. Perspective of Sustainability of Fiscal Policy in Czech Republic (Dušan Litva)
  59. Interrelation between Concentration in Banking Sector and its Main Performance Indicators: Case of Russia (Marina Malkina)
  60. Risks and Efficiency of Tax System at Different Budget System Levels: Revenue Formation and Sharing in the Russian Federation Regions (Marina Malkina, Rodion Balakin)
  61. Analysis of the Relationship between Adopting and Using XBRL as a Reporting Language for Small and Medium Sized Entities and the Development Status of the Country and the Existence of XBRL Jurisdiction (Anton Marci, Zuzana Juhászová)
  62. Corporate Tax Revenues of Selected European Countries Using Dynamic Conditional Correlation Approach (Slavomíra Martinková, Jakub Danko)
  63. The Characteristics of the Investment through the Airbag Certificates (Peter Mokrička)
  64. Friendship of Stock Indices (László Nagy, Mihály Ormos)
  65. CCTB and CCCTB Implementation and its Impact on the Tax Bases Allocated in the Slovak Republic (Danuše Nerudová, Veronika Solilová)
  66. Study of Financial Literacy in the Field of Insurance Products (Josef Nesleha, Karel Urbanovsky)
  67. Local Economic Impact of Domestic and International Students: Case of University of Economics in Bratislava (Tetyana Nestorenko, Nadiya Dubrovina, Jana Péliová)
  68. The Performance Ranking of Chosen Manufacturing Division (Inka Neumaierová, Ivan Neumaier)
  69. The Impact of Demographic Characteristics on Financial Literacy: An Empirical Study in Commercial Banks’ Customers (Thi Anh Nhu Nguyen)
  70. Private Health Insurance and Medical Subscriptions – Two Faces of the Private Pre-paid Funding of Health Care in Poland (Magdalena Osak)
  71. Payment Card Frauds with a Hidden Camera, Touch Sensors and a Counterfeit Payment Card and Protection Techniques against these Types of Frauds (Gabriela Oškrdalová)
  72. Comparison of Health Care Results in Public Health Systems of European Countries (Viera Pacáková, Pavla Jindrová, David Zapletal)
  73. The Policy of Monetary Easing of Central Banks (Dalibor Pánek)
  74. Composition of Pension Funds' Investment Portfolio and its Impact on Profit (Mário Papík)
  75. Contribution to the Research for Adequate and Sustainable Pensions – The Study of the Slovak Republic and the Czech Republic (Erika Pastoráková, Zuzana Brokešová, Tomáš Ondruška, Eleonóra Zsapková)
  76. Economies of Scale in M&A in the Manufacturing Industry in the Czech Republic (Jan Pěta, Mária Režňáková)
  77. Examination of Stock Market “Temperature” Using Price-Dividend Dependence for European Shares (Sergey Petrov, Oksana Kashina, Roman Murashkin)
  78. Personal Finance in Terms of Income and Expenditure Aspects (Marlena Piekut)
  79. Willingness of Polish Households to Save for Retirement (Sylwia Pieńkowska-Kamieniecka, Damian Walczak)
  80. Application of DEA Methods for Evaluating Efficiency in Museums, Galleries, and Monuments in the Czech Republic (Michal Plaček, Milan Půček, František Ochrana, Milan Křápek)
  81. The Impact of Using an External Authority on the Quality of Public Procurement (Michal Plaček, Martin Schmidt, František Ochrana, Milan Půček)
  82. Forecasting Exchange Rate Volatility: Suggestions for Further Research (Tomáš Plíhal)
  83. Functioning of Bancassurance in Selected Countries in Which the Financial Group Erste Group Bank Operates (Lenka Přečková)
  84. Financial Performance of Czech Subsidiaries under Control of the EU Listed Companies (David Procházka)
  85. Practical Application of Sentiment Indicators in Financial Analysis: Behavioral Finance Approach (Zuzana Rakovská, Martin Svoboda)
  86. The Impact of the Features of Healthcare Providers in Poland on their Costs in the Accounting System (Monika Raulinajtys-Grzybek, Katarzyna Frankowska, Wojciech Matusewicz)
  87. Prediction of Future Development of the World Economy under Conditions of Negative Interest Rates (Oldřich Rejnuš)
  88. Economic Condition of the European Union countries and Level of Rating (Tomasz Rólczyński, Tomasz Kopyściański)
  89. Using of Venture and Equity Capital in Financing of SMEs in the Slovak Republic (Katarína Rentková, Monika Roštárová)
  90. Testing the Weak Form of Efficiency on Chinese Stock Market (Petr Seďa, Juan Antonio Jimber del Río)
  91. Financial Statements in the Financial Decision Making (Jaroslav Sedláček)
  92. Financial Literacy of Elementary School Pupils in Pardubice (Kateřina Seinerová)
  93. Stress-testing Model for Structural Liquidity Risk (Eugenia Schmitt)
  94. Factors Influencing Clients in Selection of Insurance Company (Elena Širá, Katarína Radvanská, Zuzana Grančaiová)
  95. The Optimized Indicators of Technical Analysis by Anticyclic Assets (Martin Širůček, Karel Šíma)
  96. Budgetary Gaming Behavior and its Determinants (Ladislav Šiška)
  97. Implications of Low/Negative Interest Rates for Banks’ Asset and Liability Management – An Example (Ľudomír Šlahor, Daniela Majerčáková, Mária Barteková)
  98. The Recommendation of Safe Haven Interest Rates in the BEPS Context (Veronika Solilová, Danuše Nerudová, Hana Bohušová, Patrik Svoboda)
  99. Foreign Exchange Intervention by the Czech National Bank and its Consequences (Miroslav Sponer, Martina Sponerová)
  100. Nexus of Bank Risk-taking and Interest Rates (Martina Sponerová, Miroslav Sponer1))
  101. Selected Success Factors of Crowdfunding Projects (Tomáš Štofa, Martin Zoričak)
  102. Reflection of Customer Satisfaction in Selected Performance Indicators of Food Enterprises (Petr Suchánek, Maria Králová)
  103. Evaluation of the Business Cycle Synchronisation in Europe (Veronika Šuliková, Marianna Siničáková, Ľubica Štiblárová, Slavomíra Šuliková)
  104. Determination of Financial Strategy of Selected Company and its Importance for Other Business Development – Case Study (Veronika Svatošová, Zuzana Svobodová)
  105. Algorithmic Trading Using Markov Chains: Comparing Empirical and Theoretical Yields (Milan Svoboda, Pavla Říhová)
  106. Comparison of Building Savings Banks on the Czech Market (Libuše Svobodová, Martina Hedvičáková)
  107. Co-operative Banks in Poland, Current Issues (Lukasz Szewczyk)
  108. Joint Deterministic and Stochastic Approach to Cash Balance Modelling: a Cash Model Specification and Verification (Aleksandra Szpulak, Tomasz Michael)
  109. Sovereign Wealth Fund Ownership and Financial Performance of Companies Listed on the Warsaw Stock Exchange (Dariusz Urban)
  110. Connection between Exchange Rate and Balance of Payments Accounts: The Case of the Czech Republic (Tomáš Urbanovsk)
  111. Comparing Financial Performance of Slovak Excellent Companies (Lukáš Vartiak)
  112. The Evaluation of Financial Health of the Insurance Sector in the World's Insurance Centers (Eva Vávrová, Svatopluk Nečas)
  113. Expenses and Revenue Classifications for Managerial Purposes in the Czech State Administration Units (Jana Vodáková, Nela Sglundová)
  114. The Incorrectness of Estimating of Tax Base in Income Taxes in the Verdicts of Supreme Administrative Court in 2014 in Poland (Radoslaw Witczak)
  115. Typology of the Municipal Bonds Risk – Application for Polish Organized Bonds Market (Agnieszka Wojtasiak-Terech)
  116. Fiscal Federalism and Redistributive Politics for Income Tax: Case of Russia’s Regions (Nadezhda Yashina, Maria Ginzburg, Louisa Chesnokova)
  117. Cross-generational Investment Behavior and the Impact on Personal Finance (Alexander Zureck, Julius Reiter, Martin Svoboda)