dc.contributor.advisor | Kořená, Kateřina | |
dc.contributor.author | Feng, Xiaoshan | |
dc.date.accessioned | 2018-06-26T08:03:21Z | |
dc.date.available | 2018-06-26T08:03:21Z | |
dc.date.issued | 2018 | |
dc.identifier.other | OSD002 | |
dc.identifier.uri | http://hdl.handle.net/10084/127905 | |
dc.description.abstract | The objective of this thesis is to assess long-term investing in the global stock markets through important indicators such as moving average and volatility. In addition, we will use econometrics to analyze the relationships between stock indices and macroeconomic indicators such as interest rate and inflation.
Through this thesis, we can have a review of historical development of global stock markets and make the investor more clearly to make their choices in future stock investing. | en |
dc.description.abstract | The objective of this thesis is to assess long-term investing in the global stock markets through important indicators such as moving average and volatility. In addition, we will use econometrics to analyze the relationships between stock indices and macroeconomic indicators such as interest rate and inflation.
Through this thesis, we can have a review of historical development of global stock markets and make the investor more clearly to make their choices in future stock investing. | cs |
dc.format.extent | 5115897 bytes | |
dc.format.mimetype | application/pdf | |
dc.language.iso | en | |
dc.publisher | Vysoká škola báňská - Technická univerzita Ostrava | cs |
dc.subject | Long-term investing | en |
dc.subject | Stock Markets | en |
dc.subject | Stock Exchanges | en |
dc.subject | Indices | en |
dc.subject | Volatility | en |
dc.subject | Moving Average | en |
dc.subject | Yield | en |
dc.subject | Econometrics | en |
dc.subject | Modelling | en |
dc.subject | The United States | en |
dc.subject | China | en |
dc.subject | Japan | en |
dc.subject | Germany. | en |
dc.subject | Long-term investing | cs |
dc.subject | Stock Markets | cs |
dc.subject | Stock Exchanges | cs |
dc.subject | Indices | cs |
dc.subject | Volatility | cs |
dc.subject | Moving Average | cs |
dc.subject | Yield | cs |
dc.subject | Econometrics | cs |
dc.subject | Modelling | cs |
dc.subject | The United States | cs |
dc.subject | China | cs |
dc.subject | Japan | cs |
dc.subject | Germany. | cs |
dc.title | Assessment of Long-Term Investing in Stock Markets | en |
dc.title.alternative | Zhodnocení dlouhodobého investování na akciových trzích | cs |
dc.type | Diplomová práce | cs |
dc.contributor.referee | Kolková, Andrea | |
dc.date.accepted | 2018-05-28 | |
dc.thesis.degree-name | Ing. | |
dc.thesis.degree-level | Magisterský studijní program | cs |
dc.thesis.degree-grantor | Vysoká škola báňská - Technická univerzita Ostrava. Ekonomická fakulta | cs |
dc.description.department | 154 - Katedra financí | cs |
dc.thesis.degree-program | Hospodářská politika a správa | cs |
dc.thesis.degree-branch | Finance | cs |
dc.description.result | výborně | cs |
dc.identifier.sender | S2751 | |
dc.identifier.thesis | FEN0021_EKF_N6202_6202T010_2018 | |
dc.rights.access | openAccess | |