Assessment of Long-Term Investing in Stock Markets

dc.contributor.advisorKořená, Kateřina
dc.contributor.authorFeng, Xiaoshan
dc.contributor.refereeKolková, Andrea
dc.date.accepted2018-05-28
dc.date.accessioned2018-06-26T08:03:21Z
dc.date.available2018-06-26T08:03:21Z
dc.date.issued2018
dc.description.abstractThe 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.abstractThe 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.description.department154 - Katedra financícs
dc.description.resultvýborněcs
dc.format.extent5115897 bytes
dc.format.mimetypeapplication/pdf
dc.identifier.otherOSD002
dc.identifier.senderS2751
dc.identifier.thesisFEN0021_EKF_N6202_6202T010_2018
dc.identifier.urihttp://hdl.handle.net/10084/127905
dc.language.isoen
dc.publisherVysoká škola báňská - Technická univerzita Ostravacs
dc.rights.accessopenAccess
dc.subjectLong-term investingen
dc.subjectStock Marketsen
dc.subjectStock Exchangesen
dc.subjectIndicesen
dc.subjectVolatilityen
dc.subjectMoving Averageen
dc.subjectYielden
dc.subjectEconometricsen
dc.subjectModellingen
dc.subjectThe United Statesen
dc.subjectChinaen
dc.subjectJapanen
dc.subjectGermany.en
dc.subjectLong-term investingcs
dc.subjectStock Marketscs
dc.subjectStock Exchangescs
dc.subjectIndicescs
dc.subjectVolatilitycs
dc.subjectMoving Averagecs
dc.subjectYieldcs
dc.subjectEconometricscs
dc.subjectModellingcs
dc.subjectThe United Statescs
dc.subjectChinacs
dc.subjectJapancs
dc.subjectGermany.cs
dc.thesis.degree-branchFinancecs
dc.thesis.degree-grantorVysoká škola báňská - Technická univerzita Ostrava. Ekonomická fakultacs
dc.thesis.degree-levelMagisterský studijní programcs
dc.thesis.degree-nameIng.
dc.thesis.degree-programHospodářská politika a správacs
dc.titleAssessment of Long-Term Investing in Stock Marketsen
dc.title.alternativeZhodnocení dlouhodobého investování na akciových trzíchcs
dc.typeDiplomová prácecs

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