Theses on a related topic (having the same keywords):

faktorove smart-beta strategie, market concentration risk, s&p 500, pasivni investovani, passive investing, riziko trzni koncentrace, indexove efekty, factor-based smart beta strategies, index reconstitution effects

Keywords ordered alphabetically | Keywords ordered by occurrence rate

1.
Fatianov, Maksym
Faculty: University of Finance and Administration
Year: 2025, studies completed, degree conferred: Ing.
Programme/field: Economics and Management / Economics and Management
Master's thesis defence: Sectoral Analysis and Risk Strategies in Economic Fluctuations: A Study on the S&P 500 | Theses on a related topic Display description

2.
Klička, Tomáš
Faculty: University of Finance and Administration
Year: 2019, studies completed, degree conferred: Ing.
Programme/field: Economics and Management / Business Management and Corporate Finance (combination/specialization: Business Management)
Master's thesis defence: Možnosti zhodnocení volných finančních prostředků podniku na finančních trzích | Theses on a related topic