Finanční krize jako výsledek selhání risk managementu

In this thesis, we examined time period from year 1993 to 2008 concerning real estate market in USA and coherent risk management decisions and tools used by US government and private mortgage institutions. After qualitative analysis of information resources (financial data, official documents and st...

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Bibliographic Details
Main Author: Minařík, Štěpán
Other Authors: Hlaváček, Michal
Format: Dissertation
Language:English
Published: 2010
Online Access:http://www.nusl.cz/ntk/nusl-295354