European Financial Systems 2012
eBook - PDF

European Financial Systems 2012

21st and 22nd June 2012

  1. English
  2. PDF
  3. Available on iOS & Android
eBook - PDF

European Financial Systems 2012

21st and 22nd June 2012

About this book

International conference European Financial Systems 2012 was focused on prevailing scientific inquiries in the area of global financial markets and financial systems. Particular attention was paid to the European financial and sovereign debt crisis, comprising the possibilities of its resolution and options of its prevention in the future. Fruitful discussions covered also recent findings and trends in banking, insurance, financial engineering, and financial management alongside with developments in accounting practices and taxation systems.

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Yes, you can access European Financial Systems 2012 by Petr ?ervinek,Petr Červinek, Petr Červinek in PDF and/or ePUB format, as well as other popular books in Business & Finance. We have over one million books available in our catalogue for you to explore.

Information

Subtopic
Finance

Table of contents

  1. TABLE OF CONTENTS
  2. Dorota Adamek-Hyska, Piotr Tworek – Cost budgeting methods in construction projects in Poland
  3. Beáta Blechová – The analysis of the corporate financial and tax accounting in the EU and their harmonization
  4. Gábor Bóta, Mihály Ormos – A Nonparametric Serial Correlation Test of the Central and Eastern European Stock Markets
  5. Viktória Čejková, Svatopluk Nečas – The Insurance Market in Europe
  6. Petr Červinek, Jana Hvozdenská – Empirical Test of the CAPM Using Linear Regression
  7. Oleg Deev, Veronika Kajurová, Daniel Stavárek – Stock market bubbles investigation in the Czech Republic
  8. Michal Fabus – The application of OCA criteria on the European Monetary Union
  9. Monika Foltyn-Zarychta – Biases in Contingent Valuation Method Used for Investment Project Appraisal
  10. Monika Garguláková – Analysis of bankruptcy and secure risk management models and application for their extension
  11. Radim Gottwald – Impact of Selected Factors on the Dividend Policy of Joint-Stock Company
  12. Igor Hudák, Eva Kafková – Determination of the general value of selected engineering enterprises
  13. Zdenek Hustak – The Alternative Investment Funds Managers Directive and the Regulation on Venture Capital Funds - selected comments
  14. Erika Mária Jamborová – Agency theory and its application in the business of the financial sector in Slovakia
  15. Magdalena Jasiniak – The effects of domestic and foreign enterprises’ financial activity in host country economy – comparative analysis
  16. István Joó, Mihály Ormos – Disposition Effect: Do Hungarian investors keep their mistakes?
  17. František Kalouda – Claim Paid Position in Rank of Alternative Source of Funding
  18. Mária Klimiková, Martin Vovk – The Banking Sector under the Conditions of the Crisis
  19. Veronika Krsikova, Lukas Rybka – Audit Risk in the Context of the Audit Profession
  20. Jan Krajíček – Banks and Cash Management
  21. Veronika Křelinová, Jiřina Krajčová, Pavla Vanduchová – Application of operations research method to solve increase in unemployment
  22. Zuzana Křížová, Eva Hýblová – Changes in Reporting of Goodwill in Mergers & Acquisitions
  23. Katarzyna Lewkowicz-Grzegorczyk – Tax progression as an instrument of income redistribution
  24. Dagmar Linnertová, Martin Cupal, Oleg Deev – Investigation of the Weekend Effect on the Prague Stock Exchange
  25. Makarova Vasilisa – The methodology for the risk detection in non-public companies. Russia, NRU HSE
  26. Magdalena Markiewicz The importance of offshore financial centres in the financial system in the times of crisis
  27. Grzegorz Michalski – Efficiency of accounts receivable management in Polish institutions
  28. Peter Mokrička, Petr Červinek – Structured Products and Modern Portfolio Theory
  29. Mihály Ormos, Gábor Bóta – Investigation of weak-form efficiency in the CEE region applying variance ratio test
  30. Gabriela Oškrdalová – Analysis of skimming in the Czech Republic and protection techniques against skimming
  31. Dalibor Pánek – Trends in the organization of financial supervision over the ocean
  32. Radoslaw Pastusiak – The use of VaR in the process of transaction system risk reduction: the example of derivatives
  33. Oldřich Rejnuš – Risk Factors of Contemporary „Financial Crisis“ and Their Influence on Future Development of World Economy
  34. František Řezáč – The impact of the financial and debt crises on the investment activities of insurance companies
  35. Jaroslav Sedláček, Kristýna Kuhrová – An Analysis of Unsuccessful Mergers in the Czech Environment
  36. Vladimir Shatrevich – Cost management evolution for manufacturing companies
  37. Miroslav Sponer – Segmentation of corporate clients in a bank
  38. Jiří Strouhal – Applicability of IFRS in the Practice of Czech SMEs: Insight of Czech Accounting Profession Representatives
  39. Boris Sturc, Natalia Zoldakova – Selected macroeconomic factors and their relationship to impaired loans of Deutsche Bank
  40. Petr Valouch, Maria Králová – Influence of a merger on the value of assets of merged companies in the Czech Republic
  41. Eva Vávrová – Current approaches to assess the financial performance of a commercial insurance company
  42. Jitka Veselá, Soňa Poláková – The success of the speculative bubbles burst prediction using Artificial Neural Networks