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Statements

Subject Item
n2:RIV%2F70883521%3A28120%2F06%3A63504820%21RIV07-MSM-28120___
rdf:type
n17:Vysledek skos:Concept
dcterms:description
This article is explaining the main actual external macroeconomy financial risks, to be taken under consideration by every Czech of Polish corporate management, thus avoiding all financial traps and their negative influence. Those are connected with the actual US economy situation, world energy and raw material market and growing inflation influence on their future development. This article is explaining the main actual external macroeconomy financial risks, to be taken under consideration by every Czech of Polish corporate management, thus avoiding all financial traps and their negative influence. Those are connected with the actual US economy situation, world energy and raw material market and growing inflation influence on their future development. Článek definuje hlavní makroekonomická finační rizika vnějšího prostředí (zejména z USA, EU a zemí Dálného Východu) a jejich dopad na finanční hospodaření české nebo polské firmy. Jde o definování a kvantifikaci vlivu potenciálního růstu cen surovin (vč. energetických), inflace a z toho vyplývající hrozby růstu úrokových sazeb.
dcterms:title
External financial risks and their influence on Czech and Polish corporations financial health for a 9/2006 - 8/2007 period. Prediction results assessment for a previous year External financial risks and their influence on Czech and Polish corporations financial health for a 9/2006 - 8/2007 period. Prediction results assessment for a previous year Vnější finanční rizika a jejich vliv na finance českých a polských firem pro období 9/2006 až 8/2007
skos:prefLabel
External financial risks and their influence on Czech and Polish corporations financial health for a 9/2006 - 8/2007 period. Prediction results assessment for a previous year Vnější finanční rizika a jejich vliv na finance českých a polských firem pro období 9/2006 až 8/2007 External financial risks and their influence on Czech and Polish corporations financial health for a 9/2006 - 8/2007 period. Prediction results assessment for a previous year
skos:notation
RIV/70883521:28120/06:63504820!RIV07-MSM-28120___
n3:strany
374-383
n3:aktivita
n4:Z
n3:aktivity
Z(MSM 265300021)
n3:dodaniDat
n16:2007
n3:domaciTvurceVysledku
n20:9938044
n3:druhVysledku
n10:D
n3:duvernostUdaju
n18:S
n3:entitaPredkladatele
n13:predkladatel
n3:idSjednocenehoVysledku
475372
n3:idVysledku
RIV/70883521:28120/06:63504820
n3:jazykVysledku
n9:eng
n3:klicovaSlova
main megatrends - continuing commodities price increase; money exchange volatility; US trade deficit; US real estate bubble; social security reform; stagflation
n3:klicoveSlovo
n6:social%20security%20reform n6:US%20real%20estate%20bubble n6:US%20trade%20deficit n6:stagflation n6:main%20megatrends n6:money%20exchange%20volatility
n3:kontrolniKodProRIV
[1EFB42644A76]
n3:mistoVydani
Katowice
n3:nazevZdroje
Modernity of industry and services-2006
n3:obor
n12:AH
n3:pocetDomacichTvurcuVysledku
1
n3:pocetTvurcuVysledku
1
n3:rokUplatneniVysledku
n16:2006
n3:tvurceVysledku
Kráľ, Miloš
n3:zamer
n8:MSM%20265300021
s:numberOfPages
10
n19:hasPublisher
TNOIK Katowice
n14:isbn
83-85587-19-5
n7:organizacniJednotka
28120