thesis themes academic year 2017/2018 - vsb.cz · thesis themes academic year 2017/2018 study...
TRANSCRIPT
1
Thesis themes
Academic Year 2017/2018
Study Programme: Economic Theories
Branch of Study: Economics
• A different topic can be selected if pre-arranged with a given supervisor
Antonio Rodríguez Andrés, Ph.D., dept. 156,
Determinants of mental health at individual level
Measuring the knowledge economy
Socioeconomic determinants of suicide mortality and suicide methods
The use of business analytics in health care
The economics of intellectual property rights
The economics of illegal activities
Measuring the strength of IPRs protection
doc. Ing. Lenka Fojtíková, Ph.D., dep. 120, +420 597 322 132
China and the EU: granting the market economy status to China and its
impact on the selected sectors of the EU‘s economy
Competitiveness of countries in international trade.
Globalisation of trade flows and the changing role of state, supranational and
international subjects
Tariff incidence of the WTO‘s Members: the comparison and evaluation of
the impact of tariffs on trade flows.)
prof. Dr. Ing. Jan Frait, ČNB Praha, dep. 114, +420 597 322 284
Post-crisis global monetary policy and risk-taking in financial markets
doc. Ing. Martina Halásková, Ph.D., dep. 153, +420 597 322 315
Financing of services of general interest
doc. Ing. Jana Hančlová, CSc., dep. 157, +420 597 322 285
Estimation of stochastic frontier production function and its use for an
evaluation of total factor productivity growth
2
prof. Ing. Mojmír Helísek, CSc., [email protected]
Theory of monetary integration and its applicaton to the euro area
International monetary integration and currency crisis: mutual relationships
prof. Ing. Luboš Komárek, Ph.D., MBA, M.S.c, dep. 156, +420 597 322 412
Determinants of house prices in central Europe
The role of asset prices for central banks
doc. Ing. Zuzana Kučerová, Ph.D., dep. 156, +420 597 322 405
The monetary theory and policy, the evolution of approaches to the conduct
of the monetary policy, its rules and reaction function
Monetary and financial integration
The international monetary system, its evolution, present state and the future.
Shadow banking and its role in the present financial system
Securitisation, the originate-to-distribute model and the world financial
crisis, financial market regulation and supervision
The optimum currency area theory and its application to selected countries
doc. Dr. Ing. Jan Libich, dep. 114, +420 597 322 343
Macroeconomic effects of demographic changes
The optimal design of pension systems
Monetary – fiscal policy interactions
Bank Runs and Deposit Insurance
Financing Tertiary Education
Financial stability and macroprudential policy
doc. Ing. Martin Macháček, Ph.D. et Ph.D., dep. 114, +420 597 322 040
A new role of government in a market economy and the idea of libertarian
paternalism
Fiscal federalism in theory and practice
The past, present, and future of macroeconomics
Dr. Stefano Mainardi, dept. 156, +420 597 322 408
Individual heterogeneity in multinomial choice modelling
Sustainability and discounting in economic valuation
Generalised linear models for healthcare sector analysis
Microeconometrics of development and impact evaluation
Random utility maximization and random regret minimization: public goods
and stated choices
Econometric and geo-statistical approaches to spatial regression
3
doc. Ing. Aleš Melecký, Ph.D., dept. 114, +420 597 322 153
Government debt sustainability and government debt management
Financial stability and macroprudential policy
Applied modeling for macroeconomic policy
doc. Dr. Ing. Martin Melecký, Ph.D., dep. 114, +420 597 322 284
Credit risk and credit cycle in the banking sector and international financial
markets
Modelling non-performing loans using non-linear approaches
Stress testing approached and their application to the banking sectors of
transition economies
Assessing systemic importance of financial institutions
Institutional structures for financial services supervision in the EU
Problem bank resolution and its harmonization within the EU
Macroprudential supervision of financial markets in the Czech Republic and
the EU
Professor Bogdan Oancea, Ph.D., [email protected]
Estimating the relative efficiency of education and public health care services
provision in EU countries using Data Envelopment Analysis and Stochastic
Frontier Analysis
Higher education and economic growth in EU countries
Study of Income distribution and income inequality in EU countries
Building a Consumer Prices Index using web scrapping techniques
Economic forecasts using Big data techniques
Determinants of economic growth
prof. PhDr. RNDr. Stanislav Polouček, CSc., dep. 114, +420 597 322 480
Changes in financial (banking) sector structure (expected in connection with
adopting the euro, raised by joining the EU or the EMU)
doc. Ing. Richard Pospíšil, Ph.D., +420 732 285 453, [email protected]
The economic and legal aspects of independence of Czech National Bank in
relation to future membership of the Czech Republic in the Euro area
The analysis of monetary policy of Czech National Bank in times of economic
crisis and before the Czech Republic entry into Euro area
The instruments of the European Union to restore and maintain the fiscal
discipline
The budget analysis of selected local government unit in the development of
tax assignment
4
doc. Ing. Mariola Pytliková, Ph.D., dep. 156, +420 597 322 406
Wage inequality – trends and factors affecting wage inequality
Determinants of international migration
Labour diversity and its effects on wages, labour turnover and firm outcomes.
Immigrants, ethnic diversity and Foreign Direct Investment (FDI)
Segregation on the labour market – demographic, education and ethnic
segregation on the labour market
Gender differentials on the labour market
Immigrants, ethnic diversity and innovation in firms
Foreign labour – wages and employment of foreigners, and their effects on
firm performance
The role of immigrants and ethnic diversity in trade creation
The effects of emigration on sending countries
The effects of immigration on receiving countries. Inter-regional migration
doc. Ing. Jan Sucháček, Ph.D., dep. 118, +420 597 322 229
Spatial dimension of transition processes
Institutions and regional development
Urban and regional development
Causes and manifestations of territorial disparities
prof. RNDr. Dana Šalounová, Ph.D., dep. 151, +420 597 322 522
Applications of Quantitative Methods in Assessment of Macroeconomic
Equilibrium
doc. Ing. Stanislav Šaroch, Ph.D., [email protected]
Sovereign debt and its possible restructuring framework in the Eurozone
The concept of social market economy in the economic theory and its
possible interpretation for current European economy
doc. RNDr.. Milan Šimek, CSc., dep. 156, +420 597 322 402
The Labour Market Policy in the Czech Republic
prof. Ing. Jan Široký, CSc., dep. 117, +420 597 322 483
Tax incidence: Theoretical concepts and practical application
doc. Ing. Petr Tománek, CSc., dep. 153, +420 597 322 362
Financial management of territorial self-government units
5
Study Programme: Economic Policy and Administration
Branch of Study: Finance
• A different topic can be selected if pre-arranged with a given supervisor
doc. Ing. Dagmar Bařinová, Ph.D., dep. 117, +420 597 322 223
Personal Bankruptcy and its Economic and Social Impact on the Debtor
doc. Ing. Miroslav Čulík, Ph.D., dep. 154, +420 597 322 471
Application of real options methodology in financial decision-making
Corporate market risk quantification by applying CorporateMetrics
methodology
doc. Ing. Jana Hančlová, CSc., dep. 157, +420 597322 285
An evaluation of a production performance across the selected financial
institutions using a stochastic frontier approach
doc. Ing. Aleš Kresta, Ph.D., dep. 154, +420 597 322 173
Financial time series modelling and prediction
Portfolio optimization
Advanced approaches to risk management
prof. Ing. Lumír Kulhánek, CSc., dep. 154, +420 597 322 338
Money supply and stock prices
doc. Ing. Aleš Melecký, Ph.D., dep. 114, +420 597 322 153
Government debt sustainability and government debt management
Financial stability and macroprudential policy
Applied modeling for macroeconomic policy
prof. RNDr. PhDr. Stanislav Polouček, CSc., dep. 114, +420 597 322 480
Mergers and acquisitions in financial (banking) sector
Financial crisis and its impacts on financial (banking) sector restructuring
6
prof. RNDr. Jaroslav Ramík, CSc., SU OPF Karviná, +420 596 398 227
Efficiency evaluation of production units by multicriteria methods
Application of AHP methodology in the investment environment of the
Czech Republic
doc. Ing. Tomáš Tichý, Ph.D., dep. 154, +420 597 322 336
Advanced approaches to risk management in non-financial institutions (FX
rate risk, interest rate risk, commodity risk, liquidity risk, equity value)
Advanced approaches to risk management in financial institutions – banks
and insurance companies (capital adequacy and economic capital; market,
credit and operational risk, liquidity, mortality risk; asset liability
management; Basel and Solvency; portfolio optimization)
Quantitative techniques in cash management
prof. Dr. Ing. Zdeněk Zmeškal, Dean, dep. 154, +420 597 322 421
Apprising the financial derivatives for various underlying assets and payoff
functions (stock, bond, currency, exotic, credit options, etc.)
The portfolios financial optimization and hedging strategies application
Application of the chosen risk management methods (value at risk,
conditional value at risk, extreme value theory, RiskMetrics, CreditMetrics,
CorporateMetrics, etc.)
Application of the real option methodology in managing and decision –
making of the non-financial companies
Analysis and evaluation the financial performance of companies and
industrial sectors
Valuation companies and investment projects evaluation under risk and
flexibility
Commercial bank management and decision-making
Insurance management and decision-making
Corporate financial management and decision-making
Hybrid game-real options models application in valuation and investment
7
Study Programme: Economy and Management
Branch of Study: Business Administration and Management
• A different topic can be selected if pre-arranged with a given supervisor
doc. Ing. Dagmar Bařinová, Ph.D., dep. 117, +420 597 322 223
Personal Bankruptcy and its Economic and Social Impact on the Debtor
prof. Ing.. Jiří Bláha, CSc., dep. 115, +420 597 322 175
Human Resource Management – Employee Motivation and Performance
Corporate Social Responsibility – Responsible Business
doc. Dr. Ing. Pavel Blecharz, dep. 152, +420 597 322 233
Use of Design of Experiments (Taguchi Approach) in Service Industry
doc. Ing. Martina Halásková, Ph.D., kat. 153, +420 597 322 315
Management of organisations of the non-government non-profit sector
doc. Ing. Jana Hančlová, CSc., dep. 157, +420 597 322 285
Estimation of production stochastic frontiers for homogenous firms
doc. Ing. Pavla Horváthová, Ph.D., dep. 115, +420 597 322 442
Human Resource Management
Talent Management
Key Employees
doc. Ing. Lenka Kauerová, CSc., dep. 116, +420 597 322 484
Culture Dynamics in Assesing Global Markets
Brands in International Markets
doc. Ing. Ladislav Ludvík, CSc., dep. 152, +420 597 322 313
Economics and Business Management in the 21th Century
doc. Ing. Pavla Macurová, CSc., dep. 152, +420 597 322 253
Supply chain resilience
8
prof. Ing. Zdeněk Mikoláš, CSc., [email protected]
Family business in the Czech Republic
doc. Ing. Marie Mikušová, Ph.D., dep. 115, +420 597 322 199
Crisis management in theory and practice
prof. Ing. Darja Noskievičová, CSc., dep. 639, +420 597 324 503
Development of Statistical Process Control for Non-Manufacturing
Applications
Professor Bogdan Oancea, Ph.D., [email protected]
Predictive Analytics Models used in Marketing
Customer Segmentation and Predictive Modeling
doc. Ing. Vojtěch Spáčil, CSc., dep. 116, +420 597 322 515
Customer Satisfaction Measurement
Customer Typology
Intergenerational Differences in Consumer Behaviour
doc. Ing. Jan Sucháček, Ph.D., dep. 118, +420 597 322 229
Firm location
Enterprises and spatial structures
Spatial aspects of innovations
prof. RNDr. Dana Šalounová, Ph.D., dep. 155, +420 597 322 522
Applications of Statistical Methods in Marketing Research
Efficiency in Health Care – a DEA Approach
prof. Ing. Viola Šebestíková, CSc., dep. 117, +420 597 322 102
Entrepreneurship of small and medium enterprises and implementation of
IFRS“
prof. Ing. Jan Široký, CSc., dep. 117, +420 597 322 483
Tax incidence: Theoretical concepts and practical application
9
prof. Ing. Petr Šnapka, DrSc., dep. 115, +420 597 322 324
Application of Managerial Economics
doc. Mehdi Toloo, Ph.D., - dep. 157, +420 597 322 009
Robust Data Envelopment Analysis problem
Inverse Data Envelopment Analysis problem
Data Selection in Data Envelopment Analysis
Discriminant Analysis and Data Envelopment Analysis
prof. Dr. Ing. Zdeněk Zmeškal, Dean, dep. 154, +420 597 322 041
Application of the multi-attribute decomposition decision-making method in
management and business administration
10
Study Programme: System Engineering and Informatics
Branch of Study: System Engineering and Informatics
• A different topic can be selected if pre-arranged with a given supervisor
prof. Ing. Radim Farana, CSc., [email protected]
Hierarchical fuzzy expert systems application for decision support
doc. Ing. Jana Hančlová, CSc., dep. 157, +420 597 322 285
Estimation and application of Stochastic Frontier Analysis for evaluation
of productivity efficiency
Formulation and application of new hybrid DEA models to assess the
performance of decision making units
Modeling the volatility of prices of emission allowances
doc. Ing. František Huňka, CSc., dep. 155, +420 597 322 379
Value Oriented Business Process Modeling
Conceptual Modeling Based on Facts
doc. RNDr. František Koliba, CSc., Slezská univerzita v Opavě, dep. 157,
Information systems for the support of small and medium enterprises
Security of information systems in finance
doc. Ign. Pavla Macurová, CSc., dep. 152, +420 597 322 253
Supply chain resilience
prof. Ing. Dušan Marček, CSc., dep. 155, +420 597 322 378
Prediction of economic quantities using statistical and SC approach
Analysis and design of business processes
Managerial decision making: measuring of risks and possibilities of their
reduction
Android applications and web information systems
11
doc. RNDr. Ivo Martiník, Ph.D., dep. 155, +420 597 322 235
Methodology of the design and implementation of the strategic information
systems with using of the Petri nets theory
Modeling of the well-structured economic systems with using of the high-
level Petri nets theory
Process algebras and their application in the area of the well-structured
economic systems modeling
Strategic information systems supported by mobile technologies
prof. RNDr. Peter Mikulecký, PhD., Univerzita Hradec Králové, dep. 157,
Intelligent environment for managerial activities support on a workplace
Knowledge management in ambient intelligence environments
prof. RNDr. Jiří Močkoř, DrSc. ; [email protected]
Fuzzy automata and their application in socio-economic systems
Fuzzy quantifiers and their applications in decision making
prof. RNDr. Jaroslav Ramík, CSc., [email protected]
Multi-criteria and group decision making methods in economics and
management
prof. RNDr. Dana Šalounová, Ph.D., dep. 155, +420 597 322 522
Applications of Statistical Methods in Web Engineering
Statistical Methods in Personal Profile Analysis
doc. Mehdi Toloo, Ph.D., dep. 157, +420 597 322 104
Robust Data Envelopment Analysis problem
Inverse Data Envelopment Analysis problem
Selective Measures in Data Envelopment Analysis
doc. Ing. Milena Tvrdíková, CSc., dep. 155, +420 597 322 213
Information management – Integrated Information systems and their
innovation, fulfilment of company information needs
Business Intelligence – software for support of decision, trends and new
solutions
Applications of Information Technologies in company management – tools
for increasing of competitiveness
12
Innovation of company information system via services – opportunity given
by application of Cloud Computing
New features and trends in transition to ICT services in companies and
institutions
prof. Dr. Ing. Zdeněk Zmeškal, Dean, dep. 154, +420 597 322 041
An application of stochastic and fuzzy-stochastic models in economic and
financial decision-making
Dr. Mark Wachowiak, e-mail: [email protected]
Spatial econometrics; fusion of econometrics and geographic information
systems (GIS)
Business analytics and "big data" using the following approaches:
Mathematics, Computational, Visualization or Statistical
Visual analytics for econometric analysis
Modelling and optimization of electrical power generation and distribution