Thesis title | Year of announcement | Year of defence | Thesis type | Thesis discipline | Supervisor | Author | Announced | Assigned | Department | Faculty | |
Fiscal policy in DSGE models | 2012/2013 | dissertation | XXE | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 13.11.2015 | 13.11.2015 | Institut ekonomických studií (23-IES) | FSV | ||
Bayesian Econometrics and Monetary Policy | 2010/2011 | dissertation | XXE | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 18.11.2015 | 18.11.2015 | Institut ekonomických studií (23-IES) | FSV | ||
A New Keynesian General Equilibrium Model for the Czech Economy | 2007/2008 | 2008/2009 | diploma thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 24.08.2008 | 24.08.2008 | Institut ekonomických studií (23-IES) | FSV | |
Stochastic Growth Theory and its Economic Applications | 2009/2010 | dissertation | XXE | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 13.11.2015 | 13.11.2015 | Institut ekonomických studií (23-IES) | FSV | ||
Three Essays on Empirical Analysis of Economic Policy | 2012/2013 | 2012/2013 | dissertation | XXE | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 06.09.2012 | 09.09.2012 | Institut ekonomických studií (23-IES) | FSV | |
Regime-Switching Models and Their Application in the Financial Markets | 2010/2011 | 2010/2011 | Bachelor's thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 25.02.2011 | 03.03.2011 | Institut ekonomických studií (23-IES) | FSV | |
Multifractal nature of financial markets and its relationship to market efficiency | 2010/2011 | 2009/2010 | rigorosum thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 13.01.2010 | 13.01.2010 | Institut ekonomických studií (23-IES) | FSV | |
Wavelet-based Realized Variation and Covariation Theory | 2010/2011 | 2011/2012 | dissertation | XEE | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 03.03.2011 | 03.03.2011 | Institut ekonomických studií (23-IES) | FSV | |
The Effects of Exchange Rate Volatility on Czech Real Export: Theory and Empirical Investigation | 2005/2006 | 2006/2007 | Bachelor's thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 06.09.2006 | 06.09.2006 | Institut ekonomických studií (23-IES) | FSV | |
Multifractal nature of financial markets and its relationship to market efficiency | 2007/2008 | 2008/2009 | diploma thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 24.08.2008 | 24.08.2008 | Institut ekonomických studií (23-IES) | FSV | |
Measuring credit risk for portfolios with heavy-tailed risk factors | 2006/2007 | 2006/2007 | diploma thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 24.05.2006 | 24.05.2006 | Institut ekonomických studií (23-IES) | FSV | |
Measuring credit risk for portfolios with heavy-tailed risk factors | 2007/2008 | 2007/2008 | rigorosum thesis | E | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 12.11.2007 | 12.11.2007 | Institut ekonomických studií (23-IES) | FSV | |
Výnosová křivka v dynamickém modelu všeobecné rovnováhy | 2010/2011 | dissertation | XXE | prof. Ing. Miloslav Vošvrda, CSc. | hidden | 11.11.2015 | 11.11.2015 | Institut ekonomických studií (23-IES) | FSV |
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