Porovnání investování do vybraných fondů kolektivního investování v České republice

Abstract

This bachelor thesis compares selected equity, bond and mixed investment funds offered on the Czech market. The funds were selected on the basis of the volume of assets under management and the date of establishment with the aim of including funds with the longest possible history. The main comparison tool is the average annual return, which provides an overview of the fund's performance over 10 years. Another comparison tool is the standard deviation, which shows the rate of volatility in year-on-year performance. The final tool are the fees associated with the investment. The data for the assessment were obtained from publicly available sources. The results show differences in performance and fees between fund types, which can provide useful information to investors when deciding on an investment strategy.

Description

Subject(s)

investment fund, collective investment, investment, share, bond, unit certificate, yield, risk

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