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914 (0,093s)

Project

Procyclicality of financial markets, asset price bubbles and macroprudential regulation (GAP403/11/2073)

The project will focus on procyclicality of financial markets, asset price relationship among monetary policy, financial stability and asset prices. The whole for identification of asset price bubbles. An ...

AH - Ekonomie

  • 2011 - 2014
  • 3 169 tis. Kč
  • 3 169 tis. Kč
  • GA ČR
Project

Crypto Assets as a Threat to the Sovereign (GA24-12864S)

characteristics of crypto assets make it difficult or even impossible to use state power against those dealing with crypto assets, whether in the financial system (paymentThe project will analyse the implications of using ...

Law

  • 2024 - 2026
  • 4 044 tis. Kč
  • 4 044 tis. Kč
  • GA ČR
Project

Application of complex Lévy processes in modeling of financial assets prices (GA402/08/1237)

of the evolution of financial asset prices and their portfolios respecting also the higherIn the context of increasing volatility and linkage of particular financial of primary financial quantities efficiently and...

AH - Ekonomie

  • 2008 - 2010
  • 2 870 tis. Kč
  • 2 870 tis. Kč
  • GA ČR
Project

Credit Risk Modeling for Financial and Commodity Assets Portfolios (GA15-00036S)

of assets. We will consider, besides financial assets, also commodity assets. and empirical results into the current and envisaged future framework of financial......

AH - Ekonomie

  • 2015 - 2017
  • 3 987 tis. Kč
  • 3 987 tis. Kč
  • GA ČR
Project

Conception of Financial Accounting for fair and true view of Acquisition and Pool (Business Combinations) (GA402/03/1314)

Combinations - Acquisition and Pool (Merger) in financial accounting. Single conception of assets andliabilities, - Recognise assets and liabilities business in accounting value business and sum prices single assets

AH - Ekonomie

  • 2003 - 2005
  • 1 140 tis. Kč
  • 1 140 tis. Kč
  • GA ČR
Project

Liquid assets demand models application to the Czech ecomomy (GA402/96/1440)

The impacts of changes in financial variables on the real sector are major issues in monetary economics. Changes in financial variables may arise from different interest rates. There are two ways of the determination of asset

AH - Ekonomie

  • 1996 - 1998
  • 1 010 tis. Kč
  • 950 tis. Kč
  • GA ČR
Project

Taming the tail risks in financial markets with data-driven methods (GA24-11555S)

The project will develop a new family of models for identification of tail risks in financial markets from possibly large datasets using deep learning algorithms. Our newly developed methods will allow us to revisit several classical problem...

Applied Economics, Econometrics

  • 2024 - 2026
  • 6 606 tis. Kč
  • 6 606 tis. Kč
  • GA ČR
Project

Frequency dependent measurement of financial risk (GA16-14151S)

factors driving quantiles of financial returns and volatility. We hypothesise that quantiles of returns of different assets share common factor structures across is that quantiles of asset returns will share common factor ...

AH - Ekonomie

  • 2016 - 2020
  • 2 408 tis. Kč
  • 2 408 tis. Kč
  • GA ČR
Project

Application of the Fuzzy-Stochastic Approaches in Financial Decision-making (GA402/02/1046)

financial decision-making with Czech Republic financial environment application aspects models basis, fuzzy-stochastic model of financial derivatives, financial models of assets and liabilities on the fuz...

AE - Řízení, správa a administrativa

  • 2002 - 2004
  • 1 127 tis. Kč
  • 1 065 tis. Kč
  • GA ČR
Project

Modeling the structure and dynamics of energy, commodity and alternative asset prices (GA22-19617S)

The main goal of our project is to apply and extend some of the recently established techniques in financial econometrics and computational finance in order assets, models of commodity futures term structure and volatility spillover...

Finance

  • 2022 - 2024
  • 5 917 tis. Kč
  • 5 917 tis. Kč
  • GA ČR
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