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In this paper, we analyse how financial market analysts' expectations in the Czech National Bank's Financial Market Inflation Expectations survey perform relative to the random-walk forecast when it comes to predicting five financial variables. Using data from 2001 to 2022, our results indicate...
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Intro -- PREFACE -- CONTENTS -- The System Solution of Uninsurable Riskswith Focus on Floods in the Czech Republic (Hana Bártová, Karel Hanzlík) -- Verification of a linear dependence between the risk premiumand the systematic risk: Empirical testing based on data from PSE (Luděk Benada,...
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This paper is focused on the financial situation of enterprises introducing safeguard procedure (in other words moratorium) in the Czech Republic. The paper's aim is to show if the enterprises asking for the safeguard procedure do have financial conditions for recovering and maintaining the...
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The paper deals with institutional arrangement of financial supervision in the Czech Republic. Financial markets are composed of partial financial segments specialized in individual types of financial instruments and individual customer groups. Financial institutions gradually transform into...
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