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Top 140 Finance Research Paper Topics
Why finance topics? The search for interesting finance topics is a constant one. Of course, this is understandable because knowledge of hot topics in finance puts you ahead of the game. Students or researchers who major in business will, at one point or the other in their careers, make presentations, and submit research papers, essays,or help with dissertation or projects. With the headache of writing these papers aside, the challenge of picking finance topics always looms around. We have, therefore, carried out extensive research to present you with these 30 finance topics that will make your paper worth reading! When in doubt, this list of finance topics will surely come in handy to shed some light on that darkness!
Finding Excellent Topics in Finance
We offer you 30 researchable topics in finance. But why should we only catch fish for you if we can teach you how to fish too? The need to find unique topics in finance is on the increase. Here are some excellent tips that will help you choose appropriate finance topics:
- Find out unanswered questions from previous research works or develop on areas that require additional study.
- Read several theses to form ideas.
- Check economics topics . They may be more general but you can narrow down some of them.
- Search online for related topics that are unique, or make them unique to suit your purpose.
- Discuss your chosen topic with other students or people who have experience writing dissertations asking for their input.
Research Topics In Finance
In financial research, unique topics are pivotal to the overall success of the study. The reason for this is simple. Now put yourself in the shoes of professors who have read hundreds of theses and essays. They already know common topics that students like to write or work on. A hot research topic in finance will surely catch the attention of your professor and will likely earn you better grades. Writing finance research papers becomes much easier when you have superb finance research topics.
Here is a finance research topics list that will spark people’s interest in your research work and make your finance research paper worth reading! Ready for these research topics in finance? Read on!
- Merger and Acquisition: An Analytical Study of the Benefits and Set-backs.
- Capital Asset Pricing Model: Possible Solutions to its Inadequacies.
- Global Financial Crisis: A Critical Study of the Role of Auditors and Stakeholders.
- The Impact of Manipulating the Commodity Market on Future Commerce.
- Continuous-time Models: An exhaustive Comparative Analysis of its Application in Divers financial Environments.
- How Speculations Undermine the Stability of Banking in Asian Markets.
- Branding: Its Effect on Consumer Behavior.
- An effective strategy for managing inventory and controlling your budget.
- An analytical report on the various investments in tax-saving products.
- Using a systematic investment strategy to build stability for retail investments.
- How income tax is planned and implemented in India’s economy.
- A detailed analysis of how the Indian banking system operates.
- How does multi-level marketing work in different economies around the world?
- A detailed report on electronic payment and how it can be improved.
- A case study regarding senior citizen investment portfolios.
- Are there potential risks and rewards when comparing savings to investments?
- Is ratio analysis an effective component of financial statement analysis?
- How the Indian economy functions with its current banking operations.
Finance Research Topics For MBA
Here are some great finance research topics you can use toward your MBA. It’s sure to intrigue your professor and get you to look at finance from a different perspective.
- Investment analysis of a company of your choice.
- A detailed report on working capital management.
- Financial plans and considerations for saving taxes and salaried employees.
- A detailed analysis of the cost and costing models of the company of your choice.
- The awareness of investments in financial assets and equity trading preference with financial intermediaries.
- The perspective of investors and their involvement with life insurance investments.
- A detailed analysis of the perception of mutual fund investors.
- The comparative study between UIL and the traditional products.
- A detailed report on how the ABC company manages cash.
Corporate Risk Management Topics
These are some key topics you can use relating to corporate risk management.
- A detailed report on the fundamentals of corporate risk management.
- The analytical concepts relating to effective corporate and financial management within a company.
- How does corporate risk management affect the financial market and its products?
- What are risk models and how are they evaluated?
- How is market risk effectively measured and managed in today’s economy?
- How can a company be vigilant of potential credit risks they can face?
- What are the differences between operational and integrated risks in the corporate world?
- Is liquidity an effective strategy to lower financial risk to a company?
- How risk management can connect with and benefit investment management.
- The current issues that are affecting the modern marketplace and the financial risks they bring.
Healthcare Finance Research Topics
These are some key topics you can use relating to healthcare finance research.
- Is it better for the government to pay for an individual’s healthcare?
- The origins of healthcare finance.
- An analysis of Canada and their healthcare finance system.
- Is healthcare financing a right or a privilege?
- The changing policies of healthcare in the U.S.
- Can healthcare be improved in first-world countries?
- Can the healthcare system be improved or remade?
- How much influence does the government have on healthcare in a country?
- The impact of growing global health spending.
- Is free healthcare achievable worldwide?
Corporate Finance Topics
Corporate finance deals with processes such as financing, structuring of capital, and making investment decisions. It seeks to maximize shareholder value by implementing diverse strategies in long and short-term financial planning.
Corporate finance research topics broadly cover areas like tools for risk management, trend research in advanced finance, physical and electronic techniques in securities markets, research trends in advance finance, investment analysis, and management of government debt. The following corporate finance topics will surely minimize any risk of mistakes!
- Using the Bootstrapped Interest Rates to Price Corporate Debt Capital Market Instruments.
- Corporate Organizations: The Impact of Audit Independence on Accountability and Transparency.
- Buybacks: A Critical Analysis of how Firms can Buy Back at Optimal Prices.
- Merge and Acquisitions: Reasons why Firms still Overpay for bad Acquisitions.
- Corporate Finance: Ethical Concerns and Possible Solutions.
- Understanding the investment patterns relative to smaller and medium-capitalization businesses.
- A detailed analysis of the different streams of investment relating to mutual funds.
- Equity investors and how they manage their portfolios and perception of potential risks.
- How does investor preference operate in the commodity market in Karvy Stock Broking Limited?
- An analysis of the performance of mutual funds in the public and private sectors.
- Understanding how Videcon manages its working capital.
- The Visa Port trust and how it conducts ratio analysis.
- How the gold monetization scheme has affected the Indian economy and banking operations.
- How does SWIFT work and what are the potential risks and rewards?
- A detailed analysis of the FMC and SEBI merger.
Business Finance Topics
Every decision made in a business has financial implications. It is, therefore, essential that business people have a fundamental understanding of finance. To show your knowledge, you must be able to write articles on finance topics in areas such as financial analysis, valuation, management, etc. Here are some juicy business finance topics!
- Application of Business Finance: Its importance to the Business Sector.
- The Importance of Business Finance in the Establishment of Business Enterprises.
- Modernization of Business: Roles of Business Finance in Business Modernization.
- A detailed study on providing financial aid to self-help groups and projects.
- Is tax an effective incentive for selling life insurance to the public?
- Understanding how the performance of mutual funds can change within the private and public sectors.
- Is there a preference for different investment options from financial classes?
- A detailed analysis of retail investors and their preferences and choices.
- A study on investors and their perspective on investing in private insurance companies.
- How analyzing financial statements can assess a business’s performance.
- Increasing the accountability of corporate entities.
- Ethical concerns connected to business finance and how they can be managed.
- The level of tax paid by small to medium businesses.
International Finance Topics
As the world is now a global village, business transactions occur all around the world. No more are we limited to local trade, and this is why the study of international is essential and relevant. Here are some international finance topics that will suit your research purpose!
- Stock Exchange: How Important are the Functions of a Bank Office?
- Global Economic Crises: Possible Precautions to prevent Global Financial crisis.
- Bond Rating: the Effect of Changes on the Price of Stocks.
- How the Banking Industry can Decrease the Impact of Financial Crisis.
- Is it possible for a country to budget funds for healthcare for the homeless?
- The negative impact of private healthcare payments on impoverished communities.
- What sectors in healthcare require more funding at the moment?
- The dilemma of unequal access to adequate healthcare in third world countries.
- Can cancer treatment be more inexpensive to the public?
- The problem with the high pricing of medication in the U.S.
- Is there a better way to establish healthcare financing in the U.S?
- What are the benefits of healthcare finance systems in Canada and the UK?
- How can third-world countries improve their healthcare systems without hurting their economy?
- Is financing research a priority in healthcare and medicine?
- Does free healthcare hurt the tax system of a country?
- Why is free and privatized healthcare present in different economies?
- How does government funding affect healthcare finance systems?
- How do patient management systems work?
- Where does affordable healthcare financing fit in growing economies?
- The economic impact of COVID-19 in various countries.
- The healthcare policies of the Serbian government.
Finance Research Paper Ideas
Writing a research paper requires an independent investigation of a chosen subject and the analysis of the remarkable outcomes of that research. A finance researcher will, therefore, need to have enough finance research paper topics from which to choose at his fingertip. Carefully selecting a finance thesis topic out of the many finance research papers topics will require some skill. Here are some exciting finance paper topics!
- Behavioral Finance versus Traditional Finance: Differences and Similarities.
- Budgetary Controls: The Impact of this Control on Organizational performance.
- Electronic Banking: The Effect of e-Banking on Consumer Satisfaction.
- Credit and Bad Debts: Novel Techniques of management in commercial Banks.
- Loan Default: A Critical Assessment of the Impact of Loan Defaults on the Profitability of Banks.
- A detailed analysis of the best risk management methods used in the manufacturing industry.
- Identifying and measuring financial risks in a derivative marketplace.
- Exploring the potential risks that can occur in the banking sector and how they can be avoided.
- The risks that online transactions bring.
- What are the methods used to ensure quantitive risk management is achieved?
- A better understanding of policy evaluation and asset management.
- What makes traditional finance so different from behavioral?
- The significance of budgetary control in a corporate organization.
- How do loans benefit the profitability of banks?
- How do commercial banks assist their clients that are in bad debt?
- The various considerations we need to be aware of before making investment decisions.
Personal Finance Topics
Personal finance covers the aspects of managing your money, including saving and investing. It comprises aspects such as investments, retirement planning, budgeting, estate planning, mortgages, banking, tax, and insurance. Researching in this area will surely be of direct impact on the quality of living. Here are some great personal finance topics that are eager to have you work on them!
- Evaluation of Possible Methods of Saving while on a Budget.
- The Effect of Increase in Interest Rate and Inflation on Personal Finance.
- Benefits of Working from Home to both Employers and Employees.
- Will dental services be considered an essential medical service soon?
- Is affordable or free healthcare a right that everyone should be entitled to?
- The best ways to save money while on a tight budget.
- What happens to personal finance when inflation and interest rates rise?
- The financial benefits of working from home.
- Does innovations in personal finance act as an incentive for households to take risks?
- A detailed analysis of credit scores.
- The importance of credit and vehicle loans.
- A detailed analysis of employee benefits and what should be considered.
- The effect of tax on making certain financial decisions.
- The best ways to manage your credit.
- The difficulties that come with mobile banking.
Finance Topics For Presentation
Sometimes, you may need to present a topic in a seminar. The idea is that you can whet the appetite of your audience with the highlights of your subject matter. Choosing these finance seminar topics requires a slightly different approach in that you must be thoroughly familiar with that topic before giving the presentation. Interesting and easy-to-grasp finance topics are, therefore, necessary for presentations. Here are some topic examples that fit perfectly into this category.
- Analysis of the Year-over-Year Trend.
- Maximizing Pension Using Life Insurance.
- The Architecture of the Global Financial System.
- Non-communicable diseases and the burden they have on economies.
- Is there a connection between a country’s population and its healthcare budget?
- The spending capability of medical innovations in a third-world economy.
- The long-term effects of healthcare finance systems in the U.S.
- A detailed analysis of pharmaceutical marketing in eastern Europe.
- Understanding the reduction in medical expenses in Greece.
- Private payment for healthcare in Bulgaria.
- A complete change in healthcare policy worldwide. Is it necessary?
- The significance of electronic banking on the public.
- The evolution of banking and its operations.
So here we are! Surely, with this essay on finance topics that you have read, you’ll need only a few minutes to decide your topic and plunge into proper research! If you need professional help, don’t hesitate to contact our economics thesis writers .
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200 Finance Dissertation Topics: Quick Ideas For Students
Finance dissertation topics are on-demand in the 21st century. But why is this so? It may perplex you how everyone is up and down looking for interesting, quality finance topics. However, the answer is simple: because fascinating finance dissertation topics can earn students bonus points.
We will delve into that in just a second. Your finance topic dictates the difficulty of the assignment you are going to handle. Landing on the right topic means that you will not have to toil as much as when you pick a highly complex topic. Does it make sense?
Let’s explore the nitty-gritty of finance dissertation papers before we get into mentioning the top-rated finance research topics list.
What Is A Finance Dissertation?
As the name goes, finance dissertation is a kind of writing that investigates a particular finance topic selected by the student. The topics range from the stock market, banking, and risk management to healthcare finance topics.
This dissertation provides the student with a degree of academic self-confidence and personal satisfaction in the finance field. Finance writing requires extensive research to create a persuasive paper in the end.
Writing Tips For Finance Dissertations
Are you uncertain concerning what you need to do to compose a top-notch finance dissertation? Worry no more! Our professional writers have put together some essential suggestions to kick you off. In the next few minutes, you will be in a position to create a perfect finance dissertation painstakingly:
- Narrow down your topic : Trim down your finance topic to a specific niche. It should focus on one region; either micro-finance, macro-finance, or internet banking.
- Verify your facts : Finance is a field that includes a lot of statistical data to be followed logically. Therefore, verify facts and figures with reliable sources before opting to use them in your paper.
- Write concisely : Unlike other papers with long narrative tales, you should encapsulate a finance paper into a tight, concise paper. The rule of ‘short is sweet’ technically applies here at great length.
- Arrange your data neatly : A paper that is stuffed with numerals and charts all over may turn down a reader at first sight. For an impressive finance thesis, know-how and when to use your data.
- Write simply : Avoid jargon that may confuse an ordinary reader. Where a need is for technical terms to be used, illustrate them with relatable examples. Simplicity is gold in a finance dissertation. So, use it well.
With these tips and tricks, you are all set to start writing your finance paper. We now advance to another crucial part that will make sure your finance paper is refined and at per with your institution’s academic standards.
General Structure of a Finance Dissertation
It is crucial to consult your supervisor regarding your dissertation’s research methodology, structure, style, and reasonable length. Depending on the guidance of your supervisor, the structure may vary. Nonetheless, as a general guide, ensure the following sections are part and parcel of your dissertation:
- Introduction: State the problem that you intend to address in your dissertation. It also includes a definition of key terms, the relevance of the topic and a summary of hypotheses.
- Theoretical and empirical literature, hypotheses development and contribution: It provides the theoretical framework of your study. The hypotheses are based on the literature review.
- Data and methodology: State the model (i.e. dependent and key independent variables) that you want to use the drawing on theoretical framework or economic argument that you may employ for your analysis. Define all control variables and describe the data used to test the hypothesis.
- Empirical results: Describe the results and mention whether they are consistent with the hypotheses and relate them with the existing evidence in the literature. You will also describe the statistical and practical/economic significance of your findings.
- Summary and conclusion: Summarize your research and state the general conclusion with relevant implications.
It is important to have all the dataset you want to use readily available before finalizing the topic. The dataset is essential for testing your hypotheses.
There are thousands of research topics for finance students available all over the internet and academic books. You only have to browse and lookup for the latest research or refer to past readings or course lectures.
Even though this exercise may look simple enough on the surface, it takes a lot of time to consider what makes for interesting finance topics adequately. Not all ideas you find will achieve the academic requirements that your supervisor expects from you.
Here is a list of freshly mint topics to use for numerous finance situations:
Impressive Healthcare Finance Topics
Healthcare involves more than just treating patients and administering injections. There are finance aspects that also come into play, including:
- Strategies for marketplace achievement in turbulent times: Medical staff marketing
- Effects of the employer executive compensation and benefits plan after the Tax Reform Act of 1986
- Improving profitability through accelerating philanthropic giving to healthcare systems
- Acceleration and effective information strategies for cash management in hospitals
- Finding the system’s solution to health care cost accounting
- How hospitals spend money from charitable organizations and donor funding
- Models of enhancing cost accounting efforts by improving existing information sources
- Strategies of increasing cash flow with a patient accounting review
- A systematic review of productivity, cost accounting, and information systems
- A study of the cost accounting strategies under the prospective payment system
- How to manage bad debt and charity care accounts in hospitals
- Achieving more value from managed care efforts in healthcare systems
- Strategies of achieving economies of scale through shared ancillary and support services
- Profitable ways of financing the acquisition of a health care enterprise
- Effects of mergers and acquisitions on private hospitals
- Measuring nursing costs with patient acuity data in hospitals
- Affordable treatment and care for long-term and terminal diseases
- Survey of the organization and structure of a hospital’s administration concerning financing
- Impact of culture and globalization on healthcare financing
- Discuss the necessity for universal health coverage in the United States
Finance Management Project Topics
If you are a finance management enthusiast, this section will impress you the most:
- The impact of corrupt bank managers on its sustainability
- How banks finance small and medium-scale enterprises
- Loan granting and its recovery problems on commercial banks
- An evaluation of credit management in the banking industry
- The role of microfinance banks in the alleviation of poverty in the US
- Comparative evaluation strategies in mergers and acquisitions
- How to plan and invest in the insurance sector and tax planning
- Impact of shareholders on decision-making processes on banks
- How diversity in banks affects management and leadership practices
- Credit management techniques that work for small scale enterprises
- Appraisal on the impact of effective credit management on the profitability of commercial banks
- The impact of quantitative tools of monetary policy on the performance of deposit of commercial banks
- Financial management practices in the insurance industry and risk management
- The role of the capital market in economic development
- Problems facing financial institutions to the growth of small scale business in the USA
- Why training and development of human resources is a critical factor in bank operations
- The impact of universal banking financial system on the credibility
- Security threats to effective management in banks
- The effect of fiscal and monetary policy in controlling unemployment
- The effects of financial leverage on company performance
Topics in Mathematics With Applications in Finance
Mathematics and finance correlate in several ways in that they borrow concepts from each other. Here are some of the mathematics concepts that apply to finance paper topics:
- Linear algebra
- Probability theory
- Stochastic processes
- Regression analysis
- Value at risk models
- Time series analysis
- Volatility modelling
- Regularized pricing and risk models
- Commodity models
- Portfolio theory
- Factor modelling
- Stochastic differential equations
- Ross recovery theorem
- Option, price, and probability duality
- Black-Scholes formula, Risk-neutral valuation
- Introduction to counterparty credit risk
- HJM model for interest rates and credit
- Quanto credit hedging
- Calculus in finance and its application
International Finance Topics
International finance research topics deal with a range of monetary exchanges between two or more nations. Below is a list of international research topics in finance for you to browse through and pick a relevant one:
- A study of the most important concepts in international finance
- How internal auditing enhances good corporate governance practice in an organization
- Factors that affect the capital structure of Go Public manufacturing companies
- A financial engineering perspective on the causes of large price changes
- Corporate governance and board of directors responsibilities
- An exploratory study on the management of support services in international organizations
- An accounting perspective of the need for theorizing corporation
- Impact of coronavirus on international trade relations
- Is business ethics attainable in the global market arena
- How exchange rates affect international trading
- The role of currency derivatives in shaping the global market
- How to improve international capital structure
- How to forecast exchange rates
- Ways of measuring exposure to exchange rates fluctuations
- How to hedge exposure to exchange rates fluctuations globally
- How foreign direct investment puts individual countries at risk
- How to stabilize international capital markets
- A study of shadow banking in the global environment
- A comparative analysis of Western markets and African markets
- Exploring the monetary funding opportunities by the International Monetary Fund
Corporate Finance Research Topics
These 20 topics have the potential to help you write an amazing corporate finance paper, provided you have the will to work hard on your paper:
- Short- and long-term investment needs for working capital trends
- Identifying proper capital structure models for a company
- How capital structure and an organization’s funding of its operations relate
- Corporate finance decision making in unstable stock markets
- The effect of firm size on financial decision making incorporates
- Compare and contrast the different internationally recognized corporate financial reporting standards
- Evaluate the emerging concept integrated reporting in corporate finance
- Managing transparency in corporate financial decisions
- How technological connectivity has helped in integrated financial management
- How different investment models contribute to the success of a corporate
- The essence of valuation of cash flows in financial and non-financial corporates
- Identify the prevalent financial innovations in the USA
- Ways in which governance influences corporate financial activities
- Impact of taxes on dividend policies in developed nations
- How corporate strategies related to corporate finance
- Implications of the global economic crisis in the backdrop of corporate finance concepts
- How information technology impact corporate relations among companies
- Evaluate the effectiveness of corporate financing tools and techniques
- How do FDI strategies compare in Europe and Asia?
- The role of transparency and liquidity in alternative corporate investments
Finance Debate Topics
These finance debate topics are formulated in keeping with emerging financial issues globally:
- Is China’s economy on the verge of ousting that of the US?
- Does the dynamic nature of the global market affect the financial alienations of countries?
- Is Foreign Direct Investment in retail sector good for the US?
- Is it possible to maintain stable oil prices in the world?
- Are multinational corporations good for the global economy?
- Does the country of origin matter in selling a product?
- Are financial companies misusing ethics in marketing?
- Why should consumer always be king in marketing messages?
- Does commercialization serve in the best interest of the consumer?
- Why should companies bother having a mission statement?
- Why should hospitals receive tax subsidies and levies on drugs?
- Is television the best medium for advertisement?
- Is the guarantor principle security or a myth?
- Compare and contrast market trends in capitalism versus Marxism states
- Does the name of a business have an impact on its development record?
- Is it the responsibility of the government to finance small-scale business enterprises?
- Does budgeting truly serve its purpose in a company?
- Why should agricultural imports be banned?
- Is advertising a waste of company resources?
- Why privatization will lead to less corruption in companies
Finance Topics For Presentation
Is your group or individual finance presentation giving you sleepless nights just because you do not have a topic? Worry no more!
- The role of diplomatic ties in enhancing financial relations between countries
- Should banks use force when recovering loans from long-term defaulters?
- Why mortgages are becoming difficult to repay among the middle class
- Ways of improving the skilled workforce in developing
- How technology creates income disparities among social classes
- The role of rational thinking in making financial decisions
- How much capital is necessary for a start-up?
- Are investments in betting firms good for young people?
- How co-operatives are important in promoting communism in a society
- Why should countries stop receiving foreign aids and depend on themselves?
- Compare and contrast the performance of private sectors over public sectors
- How frequent should reforms be conducted in companies?
- How globalization affects nationalism
- Theories of financial development that is still applicable today
- Should business people head the finance ministry of countries?
- The impact of the transport sector on revenue and tax collection
- The impact of space exploration on the country’s economy
- How regional blocs are impacting developing nations
- Factors contributing to the growth of online scams
- What is the impact of trade unions in promoting businesses?
Finance Research Topics For MBA
Here is our best list of top-rated MBA financial topics to write about in 2023, which will generate more passion for a debate:
- Evaluate the effect of the Global crisis to use the line of credit in maintaining cash flow
- Discuss options for investment in the shipping industry in the US
- Financial risk management in the maritime industry: A case study of the blue economy
- Analyze the various financial risk indicators
- Financial laws that prevent volatility in the financial market
- How the global recession has impacted domestic banking industries
- Discuss IMF’s initiatives in tackling internal inefficiency of new projects
- How the WTO is essential in the global financial market
- The link between corporate and capital structures
- Why is it important to have an individual investment?
- How to handle credit crisis in financial marketing
- Financial planning for salaried employee and strategies for tax savings
- A study on Cost And Costing Models in Companies
- A critical study on investment patterns and preferences of retail investors
- Risk portfolio and perception management of equity investors
- Is there room for improvement in electronic payment systems?
- Risks and opportunities of investments versus savings
- Impact of investor awareness towards commodities in the market
- Is taxation a selling tool for life insurance
- Impact of earnings per share
Public Finance Topics
These interesting finance topics may augur well with university students majoring in public finance:
- Financial assistance for businesses and workers during Coronavirus lockdowns
- Debt sustainability in developing countries
- How we can use public money to leverage private funds
- Analyze the use of public funds in developed versus developing countries
- The reliability of sovereign credit ratings for investors in government securities
- Propose a method of analysis on the cost-benefit ratio of any government project
- The role of entities in charge of financial intermediation
- The reciprocity and impact of tariff barriers
- Impact of the exempted goods prices on the trade deficit
- Investor penalties and its impact in the form of taxes and penalties
- Public government projects that use private funds
- Ways of measuring the cost of sustainability
- Maintaining economic growth to avoid a strong recession
- The impact of the declining income and consumption rates
- Effects of quarantine and forced suspension of economic activity
- Innovative means of limiting the scale of pandemic development
- The growing scale of the public debt of the public finance system
- A critical analysis of the epidemiological safety instruments used in countries
- The growing debt crisis of the state finance system
- How to permanently improve and increase the scale of anti-crisis socio-economic policy planning
Business Finance Topics
You can address the following business finance research papers topics for your next assignment:
- How organizations are raising and managing funds
- Analyze the planning, analysis, and control operations and responsibilities of the financial manager
- Why business managers should take advantage of the federal stimulus package
- Economical ways of negotiating for lower monthly bills
- Evaluate the best retirement plans for entrepreneurs
- Tax reform changes needed to spearhead businesses to the next level
- How politicians can help small businesses make it to the top
- Setting up life insurance policies from which you can sidestep the banks and loan yourself money
- Why every business manager should know about profit and loss statements, revenue by customers and more.
- Advantages of creating multiple corporations to business entrepreneurs
- Why good liquidity is a vital weapon in the face of a crisis
- Reasons why many people are declaring bankruptcy during the coronavirus pandemic
- Why you should closely examine the numbers before making any financial decisions
- Benefits of corporations to small scale business ventures
- How to start a business without money at hand
- Strategies for improving your company’s online presence
- Discuss the challenge of debt versus equity for small-scale businesses
- The impact of financial decisions on the profitability and the risk of a firm’s operations
- Striking a balance between risk and profitability
- Why taking the ratio of current assets to current liabilities is important to any business
You can use any of the hot topics mentioned above for your finance dissertation paper or opt for our thesis writing services. We have competitive finance dissertation writing experts ready to tackle your paper to the core.
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Research Topics & Ideas: Finance
120+ Finance Research Topic Ideas To Fast-Track Your Project
If you’re just starting out exploring potential research topics for your finance-related dissertation, thesis or research project, you’ve come to the right place. In this post, we’ll help kickstart your research topic ideation process by providing a hearty list of finance-centric research topics and ideas.
PS – This is just the start…
We know it’s exciting to run through a list of research topics, but please keep in mind that this list is just a starting point . To develop a suitable education-related research topic, you’ll need to identify a clear and convincing research gap , and a viable plan of action to fill that gap.
If this sounds foreign to you, check out our free research topic webinar that explores how to find and refine a high-quality research topic, from scratch. Alternatively, if you’d like hands-on help, consider our 1-on-1 coaching service .
Overview: Finance Research Topics
- Corporate finance topics
- Investment banking topics
- Private equity & VC
- Asset management
- Hedge funds
- Financial planning & advisory
- Quantitative finance
- Treasury management
- Financial technology (FinTech)
- Commercial banking
- International finance
Corporate Finance
These research topic ideas explore a breadth of issues ranging from the examination of capital structure to the exploration of financial strategies in mergers and acquisitions.
- Evaluating the impact of capital structure on firm performance across different industries
- Assessing the effectiveness of financial management practices in emerging markets
- A comparative analysis of the cost of capital and financial structure in multinational corporations across different regulatory environments
- Examining how integrating sustainability and CSR initiatives affect a corporation’s financial performance and brand reputation
- Analysing how rigorous financial analysis informs strategic decisions and contributes to corporate growth
- Examining the relationship between corporate governance structures and financial performance
- A comparative analysis of financing strategies among mergers and acquisitions
- Evaluating the importance of financial transparency and its impact on investor relations and trust
- Investigating the role of financial flexibility in strategic investment decisions during economic downturns
- Investigating how different dividend policies affect shareholder value and the firm’s financial performance
Investment Banking
The list below presents a series of research topics exploring the multifaceted dimensions of investment banking, with a particular focus on its evolution following the 2008 financial crisis.
- Analysing the evolution and impact of regulatory frameworks in investment banking post-2008 financial crisis
- Investigating the challenges and opportunities associated with cross-border M&As facilitated by investment banks.
- Evaluating the role of investment banks in facilitating mergers and acquisitions in emerging markets
- Analysing the transformation brought about by digital technologies in the delivery of investment banking services and its effects on efficiency and client satisfaction.
- Evaluating the role of investment banks in promoting sustainable finance and the integration of Environmental, Social, and Governance (ESG) criteria in investment decisions.
- Assessing the impact of technology on the efficiency and effectiveness of investment banking services
- Examining the effectiveness of investment banks in pricing and marketing IPOs, and the subsequent performance of these IPOs in the stock market.
- A comparative analysis of different risk management strategies employed by investment banks
- Examining the relationship between investment banking fees and corporate performance
- A comparative analysis of competitive strategies employed by leading investment banks and their impact on market share and profitability
Private Equity & Venture Capital (VC)
These research topic ideas are centred on venture capital and private equity investments, with a focus on their impact on technological startups, emerging technologies, and broader economic ecosystems.
- Investigating the determinants of successful venture capital investments in tech startups
- Analysing the trends and outcomes of venture capital funding in emerging technologies such as artificial intelligence, blockchain, or clean energy
- Assessing the performance and return on investment of different exit strategies employed by venture capital firms
- Assessing the impact of private equity investments on the financial performance of SMEs
- Analysing the role of venture capital in fostering innovation and entrepreneurship
- Evaluating the exit strategies of private equity firms: A comparative analysis
- Exploring the ethical considerations in private equity and venture capital financing
- Investigating how private equity ownership influences operational efficiency and overall business performance
- Evaluating the effectiveness of corporate governance structures in companies backed by private equity investments
- Examining how the regulatory environment in different regions affects the operations, investments and performance of private equity and venture capital firms
Asset Management
This list includes a range of research topic ideas focused on asset management, probing into the effectiveness of various strategies, the integration of technology, and the alignment with ethical principles among other key dimensions.
- Analysing the effectiveness of different asset allocation strategies in diverse economic environments
- Analysing the methodologies and effectiveness of performance attribution in asset management firms
- Assessing the impact of environmental, social, and governance (ESG) criteria on fund performance
- Examining the role of robo-advisors in modern asset management
- Evaluating how advancements in technology are reshaping portfolio management strategies within asset management firms
- Evaluating the performance persistence of mutual funds and hedge funds
- Investigating the long-term performance of portfolios managed with ethical or socially responsible investing principles
- Investigating the behavioural biases in individual and institutional investment decisions
- Examining the asset allocation strategies employed by pension funds and their impact on long-term fund performance
- Assessing the operational efficiency of asset management firms and its correlation with fund performance
Hedge Funds
Here we explore research topics related to hedge fund operations and strategies, including their implications on corporate governance, financial market stability, and regulatory compliance among other critical facets.
- Assessing the impact of hedge fund activism on corporate governance and financial performance
- Analysing the effectiveness and implications of market-neutral strategies employed by hedge funds
- Investigating how different fee structures impact the performance and investor attraction to hedge funds
- Evaluating the contribution of hedge funds to financial market liquidity and the implications for market stability
- Analysing the risk-return profile of hedge fund strategies during financial crises
- Evaluating the influence of regulatory changes on hedge fund operations and performance
- Examining the level of transparency and disclosure practices in the hedge fund industry and its impact on investor trust and regulatory compliance
- Assessing the contribution of hedge funds to systemic risk in financial markets, and the effectiveness of regulatory measures in mitigating such risks
- Examining the role of hedge funds in financial market stability
- Investigating the determinants of hedge fund success: A comparative analysis
Financial Planning and Advisory
This list explores various research topic ideas related to financial planning, focusing on the effects of financial literacy, the adoption of digital tools, taxation policies, and the role of financial advisors.
- Evaluating the impact of financial literacy on individual financial planning effectiveness
- Analysing how different taxation policies influence financial planning strategies among individuals and businesses
- Evaluating the effectiveness and user adoption of digital tools in modern financial planning practices
- Investigating the adequacy of long-term financial planning strategies in ensuring retirement security
- Assessing the role of financial education in shaping financial planning behaviour among different demographic groups
- Examining the impact of psychological biases on financial planning and decision-making, and strategies to mitigate these biases
- Assessing the behavioural factors influencing financial planning decisions
- Examining the role of financial advisors in managing retirement savings
- A comparative analysis of traditional versus robo-advisory in financial planning
- Investigating the ethics of financial advisory practices
The following list delves into research topics within the insurance sector, touching on the technological transformations, regulatory shifts, and evolving consumer behaviours among other pivotal aspects.
- Analysing the impact of technology adoption on insurance pricing and risk management
- Analysing the influence of Insurtech innovations on the competitive dynamics and consumer choices in insurance markets
- Investigating the factors affecting consumer behaviour in insurance product selection and the role of digital channels in influencing decisions
- Assessing the effect of regulatory changes on insurance product offerings
- Examining the determinants of insurance penetration in emerging markets
- Evaluating the operational efficiency of claims management processes in insurance companies and its impact on customer satisfaction
- Examining the evolution and effectiveness of risk assessment models used in insurance underwriting and their impact on pricing and coverage
- Evaluating the role of insurance in financial stability and economic development
- Investigating the impact of climate change on insurance models and products
- Exploring the challenges and opportunities in underwriting cyber insurance in the face of evolving cyber threats and regulations
Quantitative Finance
These topic ideas span the development of asset pricing models, evaluation of machine learning algorithms, and the exploration of ethical implications among other pivotal areas.
- Developing and testing new quantitative models for asset pricing
- Analysing the effectiveness and limitations of machine learning algorithms in predicting financial market movements
- Assessing the effectiveness of various risk management techniques in quantitative finance
- Evaluating the advancements in portfolio optimisation techniques and their impact on risk-adjusted returns
- Evaluating the impact of high-frequency trading on market efficiency and stability
- Investigating the influence of algorithmic trading strategies on market efficiency and liquidity
- Examining the risk parity approach in asset allocation and its effectiveness in different market conditions
- Examining the application of machine learning and artificial intelligence in quantitative financial analysis
- Investigating the ethical implications of quantitative financial innovations
- Assessing the profitability and market impact of statistical arbitrage strategies considering different market microstructures
Treasury Management
The following topic ideas explore treasury management, focusing on modernisation through technological advancements, the impact on firm liquidity, and the intertwined relationship with corporate governance among other crucial areas.
- Analysing the impact of treasury management practices on firm liquidity and profitability
- Analysing the role of automation in enhancing operational efficiency and strategic decision-making in treasury management
- Evaluating the effectiveness of various cash management strategies in multinational corporations
- Investigating the potential of blockchain technology in streamlining treasury operations and enhancing transparency
- Examining the role of treasury management in mitigating financial risks
- Evaluating the accuracy and effectiveness of various cash flow forecasting techniques employed in treasury management
- Assessing the impact of technological advancements on treasury management operations
- Examining the effectiveness of different foreign exchange risk management strategies employed by treasury managers in multinational corporations
- Assessing the impact of regulatory compliance requirements on the operational and strategic aspects of treasury management
- Investigating the relationship between treasury management and corporate governance
Financial Technology (FinTech)
The following research topic ideas explore the transformative potential of blockchain, the rise of open banking, and the burgeoning landscape of peer-to-peer lending among other focal areas.
- Evaluating the impact of blockchain technology on financial services
- Investigating the implications of open banking on consumer data privacy and financial services competition
- Assessing the role of FinTech in financial inclusion in emerging markets
- Analysing the role of peer-to-peer lending platforms in promoting financial inclusion and their impact on traditional banking systems
- Examining the cybersecurity challenges faced by FinTech firms and the regulatory measures to ensure data protection and financial stability
- Examining the regulatory challenges and opportunities in the FinTech ecosystem
- Assessing the impact of artificial intelligence on the delivery of financial services, customer experience, and operational efficiency within FinTech firms
- Analysing the adoption and impact of cryptocurrencies on traditional financial systems
- Investigating the determinants of success for FinTech startups
Commercial Banking
These topic ideas span commercial banking, encompassing digital transformation, support for small and medium-sized enterprises (SMEs), and the evolving regulatory and competitive landscape among other key themes.
- Assessing the impact of digital transformation on commercial banking services and competitiveness
- Analysing the impact of digital transformation on customer experience and operational efficiency in commercial banking
- Evaluating the role of commercial banks in supporting small and medium-sized enterprises (SMEs)
- Investigating the effectiveness of credit risk management practices and their impact on bank profitability and financial stability
- Examining the relationship between commercial banking practices and financial stability
- Evaluating the implications of open banking frameworks on the competitive landscape and service innovation in commercial banking
- Assessing how regulatory changes affect lending practices and risk appetite of commercial banks
- Examining how commercial banks are adapting their strategies in response to competition from FinTech firms and changing consumer preferences
- Analysing the impact of regulatory compliance on commercial banking operations
- Investigating the determinants of customer satisfaction and loyalty in commercial banking
International Finance
The folowing research topic ideas are centred around international finance and global economic dynamics, delving into aspects like exchange rate fluctuations, international financial regulations, and the role of international financial institutions among other pivotal areas.
- Analysing the determinants of exchange rate fluctuations and their impact on international trade
- Analysing the influence of global trade agreements on international financial flows and foreign direct investments
- Evaluating the effectiveness of international portfolio diversification strategies in mitigating risks and enhancing returns
- Evaluating the role of international financial institutions in global financial stability
- Investigating the role and implications of offshore financial centres on international financial stability and regulatory harmonisation
- Examining the impact of global financial crises on emerging market economies
- Examining the challenges and regulatory frameworks associated with cross-border banking operations
- Assessing the effectiveness of international financial regulations
- Investigating the challenges and opportunities of cross-border mergers and acquisitions
Choosing A Research Topic
These finance-related research topic ideas are starting points to guide your thinking. They are intentionally very broad and open-ended. By engaging with the currently literature in your field of interest, you’ll be able to narrow down your focus to a specific research gap .
When choosing a topic , you’ll need to take into account its originality, relevance, feasibility, and the resources you have at your disposal. Make sure to align your interest and expertise in the subject with your university program’s specific requirements. Always consult your academic advisor to ensure that your chosen topic not only meets the academic criteria but also provides a valuable contribution to the field.
If you need a helping hand, feel free to check out our private coaching service here.
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thank you for suggest those topic, I want to ask you about the subjects related to the fintech, can i measure it and how?
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Master of Science in Finance and Banking
Thesis titles.
MSc in Finance and Banking Theses Titles, by Academic Year
Anna Cursi, IPO and Covid-19 Pandemic: The Influence on the Underpricing Phenomenon in the Italian Market, Advisor: Prof. Vincenzo Farina
Nicolas De Matteo , The Impact of AI on Firms: An Event Study on Abnormal Returns Following AI Investment Announcements, Advisor: Prof. Vincenzo Farina
Jacopo Failoni , A New Benchmark Interest Rate: From LIBOR to SOFR, Advisor: Prof. Stefano Herzel
Sadaf Khaghani , Analysis of Sharpe Ratio via Residual-Based Nodewise Regression Approach, Advisor: Prof. Tommaso Proietti
Niyamaddin Mammadov , Cognitive Biases in Mbs Risk Perception: Insights From the 2008 Crisis Through the Lens of Behavioral Finance, Advisor: Prof. Stefano Herzel
Valeria Palombi , Realized Volatility Modeling with Time-Varying Dependencies, Advisor: Prof. Alessandro Casini
Leonardo Pavone , Empirical Analysis of M&A Transactions: Evidence from the European Market, Advisor: Prof. Ugo Pomante
Vincenzo Perrone , Endogenous Sampling in Financial Econometrics, Advisor: Prof. Davide Pirino
Carlo Emanuele Autiero, Robust Portfolio Optimisation Under Sparse Contamination, Advisor: Prof. Alessio Farcomeni
Vladyslava Bab'yak, Caviar and Cross-Sectional Quantile Regression Models to Assess Risk in SEP500 Sectors, Advisor: Prof. Tommaso Proietti
Francesco Bianchi, An Analysis of Small Businesses Loan Dynamics Using Inverse Probability Weighting, Advisor: Prof. Alesso Farcomeni
Chiara Cammeo, Arms Trade Network Analysis on R, Advisor: Prof. Alessio Farcomeni
Karin Carlsson, Covered Call on An Index - A Comparative Study of Two Strategies, Advisor: Prof. Shmuel Baruch
Laura Colozzi , The Put-Call Parity Mispricing: An Event Study, Advisor: Prof. Shmuel Baruch
Matteo Cosentino , Retail Investors Against Wall Street: The Role of Reddit in the Gamesstop Short Squeeze, Advisor: Prof. Alessio Farcomeni
Maddalena De Vivo, Factor Mimicking Portfolio and ESG Factor, Advisor: Prof. Alessandro Ramponi
Leonardo Di Filippo, Rough Heston Model: Montecarlo Simulation of the Volatility Surface Dynamics, Advisor: Prof. Alessandro Ramponi
Bruno Di Jeso, Fractional Shares and the Split Minimum, Advisor: Prof. Shmuel Baruch
Sabina Di Maro, Network Analysis and Vulnerability Indexes in Socially Responsible Investments, Advisor: Prof. Rocco Ciciretti
Claudia Esposito, Experimental Analysis of Emotional Engagement in Thematic Fund Advertisements: A Neuroeconomic Perspective, Advisor: Prof. Ugo Pomante
Lucia Formisano , What Role Has the Festival Sector in the Global Economy, What Meaning Has in Our Personal Lives an In-depth Analysis: Elrow and Cinema Festival, Advisor: Prof. Maura Mezzetti
Federica Fubelli , Financial Attitudes of Italian Households and Their Determinants, Advisor: Prof. Maura Mezzetti
Simone Genna , Climate-related Risk and Ngfs Scenarios: A Financial Perspective on CO2 Emissions Correlations, Advisor: Prof. Maura Mezzetti
Leonid Grebinka, The Role and Performance of Accelerators in the Munich Startup Ecosystem, Advisor: Prof. Vincenzo Farina
Simone Grugni, Using Asset Prices to Predict Bank Defaults: A Quantitative Approach, Advisor: Prof. Shmuel Baruch
Ludvig HillenFjärd, Enhancing Forex Trading Strategies: An Investigation into the Integration of Technical Analysis and Portfolio Management, Advisor: Prof. Ugo Pomante
Riccardo Mancini , An In-Depth Analysis of One-Factor Affine Term Structure Models: Cross-Sectional and Time Series Calibration of Vasicek and CIR Models, Advisor: Prof.Stefano Herzel
Angelo Mangieri , Sovereign Bond Yields: Climate Risk Impact, Advisor: Prof. Rocco Ciciretti
Fabio Marchese , The Impact of the Covid-19 Vaccine Announcement on Pfizer's Stock Price: A Single Firm Single Event Study, Advisor: Prof. Shmuel Baruch
Lorenzo Marcolini, Investment Strategies for Young Adults: Building a Dynamic Asset Allocation Model Using Genetic Algorithms, Advisor: Prof. Ugo Pomante
Mattia Marletta, Merton's Portfolio Problem: Does Portfolio Rebalancing Really Affect Investor's Utility?, Advisor: Prof. Shmuel Baruch
Noemi Pandolfi , The Relationship Between Spot and Futures Prices of the EU Ets Market Focusing On Volatility Spillover and Dynamic Correlation, Advisor: Prof. Gianni Nicolini
Andrea Pasquali , Exploring the Relationship Between ESG Disagreement and Stock Returns. An Empirical Analysis, Advisor: Prof. Rocco Ciciretti
Anastasiia Polynskaia , ESG Scores and Acquisition Premia, Advisor: Prof. Shmuel Baruch
Giulia Proietti , Thematic Investments: Challenges and Perspectives for Asset Management, Advisor: Prof. Ugo Pomante
Tommaso Roncacci , From the London Interbank Offered Rate to Risk-Free Rates: An Overview of LIBOR Success, Scandals, and Replacement Inside the Derivatives and Loan Markets, Advisor: Prof. Stefano Herzel
Alessandra Rusu , Financial Drawdown and CO2 Emissions in Sustainable Investments, Advisor: Prof. Rocco Ciciretti
Alina Mihaela Sandu , Econometric Investigation of Volatility Clustering and Asymmetry Effects on the Italian Stock Market, Advisor: Prof. Shmuel Baruch
Lucia Sansone, An Empirical Study of the Weekend Effect in Stock Markets, Advisor: Prof. Lucia Sansone
Sara Scollo, Gender Inequality in the Italian Academia, Advisor: Prof. Maura Mezzetti
Allesandra Tallarico , The Effect of Uncertainty on Firms Investments in Green Technology, Advisor: Prof.Katia Colaneri
Chiara Tenerini , Optimal Portfolio Design for European Regulatory Compliance: Exploring Genetic Algorithms Techniques, Advisor: Prof. Ugo Pomante
Francesco Torlai , Legislative Impacts and Quantitative Insights: Investigating EU ESG Benchmarks for Sustainable Investing, Advisor: Prof. Maura Mezzetti
Cristiano Vasallucci, An Empirical Analyses of the Nordic Banking Sector, Advisor: Prof. Stefano Caiazza
Khaled Youssef , An Empirical Analysis of the Put/Call Ratio Sentiment Indicator, Advisor: Prof. Shmuel Baruch
Valerio Zarrelli , Modelling Rough Volatility: The Rough Heston Model, Advisor: Prof. Alessandro Ramponi
Mehran Akbari, Performance assessment of dimension reduction techniques in market prediction in cross section of present values, Advisor: Prof. Gianluca Cubadda
Massimo Ziad Ammar , A Look into Variance Ratio: Are All Markets Becoming More Efficient with Time?, Advisor: Prof. Tommaso Proietti
Emanuel Andrei, Swap spread arbitrage strategy: a new approach using the Secured Overnight Financing Rate, Advisor: Stefano Herzel
Roberto Bauer , Machine Learning applied to dynamic Hedging strategies: a comparison between ANNs and linear regression models., Advisor: Prof. Alessandro Ramponi
Andrea Caputo, The Socially Responsible Funds, Advisor: Rocco Ciciretti
Stefano Caputo , Bitcoin Trading Strategy on Twitter Sentiment Analysis, Advisor: Prof. Vincenzo Farina
Andrei Carp , Machine Learning applications to predict stock prices based on technical indicators, Advisor: Prof. Alessandro Ramponi
Lorenzo Cianciullo, Investing in corporate socially responsible activities: a robust analysis of deletion event effects, Advisor: Rocco Ciciretti
Maria Ciobanu , Behaviour of Healthcare Index: A GARCH forecasting approach to predict volatility, Advisor: Prof. Tommaso Proietti
Domenico Roberto Curciarello, Does Bitcoin hedge inflation risk? A multivariate time series analysis, Advisor: Prof. Tommaso Proietti
Valerio D'Agostini , The Hard Landing of the Chinese Shadow Banking: how China’s printing machine and financial system practices may overwhelm its and other countries’ economy., Advisor: Prof. Ugo Pomante
Michele Dimartino , Legal and Ethical characteristics of Sukuk to be a Sharia Compliant Financial Instrument, Advisor: Prof. Amalia Diurni
Diana Andrea Dudas , Are Cat Bonds better than Reinsurance? A numerical study., Advisor: Prof. Katia Colaneri
Thiago Ely Tatsch, Does Alternative Data Improve Financial Forecasting? A series of cases, Advisor: Prof. Vincenzo Farina
Luciana Fauceglia, Portfolio selection with ESG score: a new "optimization" approach to include investors' ESG preferences, Advisor: Prof. Ugo Pomante
Fakhteh Ghalami, Mean-Variance efficient portfolio and skewed assets performance comparison, Advisor: Prof. Shmuel Baruch
Mihael Huzun , Portfolio Performance Analysis: Combining Cryptocurrencies with Traditional Assets, Advisor: Prof. Ugo Pomante
Fatemeh Khazaei , The Effect of Knowledge and Experience of Board of Companies on Mergers and Acquisitions , Advisor: Prof. Rocco Ciciretti
Eduard Andrei Kiss, Forecasting Exchange Rates: An Empirical Analysis, Advisor: Prof. Marianna Brunetti
Domenico Leone , Central bank, monetary policy and interest rates, Advisor: Prof. Stefano Herzel
Francesco Milani , The Integration of ESG Factors into the Investment Process: an application in the Portfolio Construction Model, Advisor: Prof. Ugo Pomante
Mirabela Cristina Niscoveanu, Can ESG investing do well while doing good? An analysis of the ESG European funds from 2000 to nowadays, Advisor: Prof. Rocco Ciciretti
Marco Piazza, Can the performance measurement influence mutual funds' valuation?, Advisor: Prof. Ugo Pomante
Davide Radicioni, The Black-Litterman Model: Rigorous Review, Implementation and Application to the Market, Advisor: Prof. Shmuel Baruch
Sebastian Richter , Neural Network assisted Option Pricing under Rough Volatility: An Empirical Validation., Advisor: Prof. Alessandro Ramponi
Paiman Sobati, GANs and their application in option pricing, Advisor: Prof. Alessandro Ramponi
Gianluca Varrenti, Correlation between assets during market down phases: analysis on the Dow Jones Index, Advisor: Prof. Shmuel Baruch
Assel Altynbek , European Cooperative Banking Group, Advisor: Prof. Stefano Caiazza
Riccardo Angeli , The Covid-19 Effect on Oil Spot and Futures Market and Potential Hedging Strategies, Advisor: Prof. Gianni Nicolini
Nils Anton Ludvig Anner , Explaining Credit Default Swap Spreads with the Equity Volatility and Jump Risks of Individual Firms, Advisor: Prof. Alessandro Ramponi
Masumeh Babaei , Empirical Analysis of the Cryptocurrencies and Bitcoin Price Dynamics, Advisor: Prof. Vincenzo Farina
Riccardo Bruno , Electricity Price Forecasting with Unobserved Components Models, Advisor: Prof. Tommaso Proietti
Giorgia Carena , Stochastic models for simultaneous trading in the lit market and a dark pool: a numerical study, Advisor: Prof. Katia Colaneri
Asia Ciaramella , Hedge Funds and Mutual Funds Performance: A Comparison Analysis, Advisor: Prof. Rocco Ciciretti
Gaetano Cipriani , Volatility Estimation in Presence of Microstructure Noise, Advisor: Prof. Davide Pirino
Lavinia Del Treste , The announcement effect of green bond issuers on their listed share price, Advisor: Prof. Rocco Ciciretti
Paola Di Stasi , Black Litteman Model and Risk Budgeting, Advisor: Prof. Ugo Pomante
Valentina Federici , Different Trends in SRI: The Case of Europe and Usa, Advisor: Prof. Rocco Ciciretti
Michela Fiore , Reinforcement Learning for Automatic Option Hedging, Advisor: Prof. Stefano Herzel
Gianluca Franceschini , The Effectiveness of Weather Derivatives as Risk Mitigating Tool in Wine Industry, Advisor: Prof. Gianni Nicolini
Emanuele Gatta , ESG Portfolios Premia: A Comparison Between Risks and Characteristics, Advisor: Prof. Rocco Ciciretti
Omar Gaye , ESG Factors and Performance in Portfolio Construction: Energy and Power Utility Sector, Advisor: Prof. Ugo Pomante
Saeid Hosseinzadehfarahami, On Rough Fractional Stochastic Volatility andthe Turbocharging Monte Carlo simulation for rBergomi model, Advisor: Prof. Alessandro Ramponi
Alessandra Iacobone , A Comparison Between Italian Health System and American Health System, Advisor: Prof. Maura Mezzetti
Mina Ibrahim Tawfik Ibrahim , CFD Trading in Financial Markets, Advisor: Prof. Gianni Nicolini
Alessio Incelli , An Advanced Application of Black-Litterman Model: The EBL Approach, Advisor: Prof. Ugo Pomante
Antonio Litterio , Detection of Structural Breaks in HAR Model, Advisor: Prof. Gianluca Cubadda
Daniele Maggio , Corporate Reputation: a Systematic ESG Risk Approach, Advisor: Prof. Rocco Ciciretti
Zaur Mammadov, Implied Volatility Surface: Difference Between Heston Model and SVI Parametrization, Advisor: Prof. Alessandro Ramponi
Daniele Martinelli , Reinforcement Learning for Trading Applications: The Q-Learning Algorithm, Advisor: Prof. Stefano Grassi
Laura Morrocchi , Risk-Return Optimization and ESG Opportunities in the Current Financial Market: an Empirical Study on Model Portfolios, Advisor: Prof. Ugo Pomante
Francesca Romana Multari , Quantile Dependence and Directional Predictability in Economic and Financial Time Series, Advisor: Prof. Tommaso Proietti
Tiara Fatin Binti Nasip , A Comparison of Methods for Sentiment Analysis of Private Companies: The Case of Recent Tweets about Tesla Inc., Advisor: Prof. Alessio Farcomeni
Alberto Noe’ , The Determinants of Italian Households Financial Planning, Advisor: Prof. Rocco Ciciretti
Saeedeh Ostovari , Investigating the Statistical Properties of the Hurst Exponent Estimator of Rough Volatility Model, Advisor: Prof. Tommaso Proietti
Dario Piperni , Green Minus Black: The Risk-adjusted Performance of SRI, Advisor: Prof. Vincenzo Farina
Meruyert Ramazanova, A review of volatility estimators for financial assets, Advisor: Prof. Davide Pirino
Matteo Ronci , Volatility Analysis of Bitcoin and Ethereum Before and After the Introduction of Futures, Advisor: Prof. Gianni Nicolini
Roberto Rosina , The Determinants of Financial Derivatives Use: an Empirical Analysis From European Banking Industry, Advisor: Prof. Gianni Nicolini
Edoardo Sabetta , Doing Well While Doing Good? A Performance Comparison Analysis of European Mutual Funds in Pandemic Times, Advisor: Prof. Vincenzo Farina
Flaminia Sarrantonio , Power market fundamental approach to study the dynamics of the electricity sector in Latin America, Advisor: Prof. Rocco Ciciretti
Roberta Maria Segatore , Estimation of a Structural Model for Stale Prices, Advisor: Prof. Davide Pirino
Noemi Viggiano , Does it matter to be green? The Effect of Green Investment on Corporate Behavior, Advisor: Prof. Stefano Herzel
Mario Viola , Tactical Asset Allocation : A Machine Learning Approach, Advisor: Prof. Ugo Pomante
Aizhan Yermekova , Determinants of M&A premium: evidence from quantile regression analysis, Advisor: Prof. Alessio Farcomeni
Faranak Alikhah , Time Reversibility of Financial Time Series, Advisor: Prof. Tommaso Proietti
Francesco Apa Eduardo , Integration between ethical activity and economic dynamics: the banking sector, Advisor: Prof. Amalia Diurni
Francesco Berretti , The Determinants of Italian Household Financial Planning, Advisor: Prof. Rocco Ciciretti
Andrea Bonelli , Forecasting Realized Volatility: Long vs Short Memory Processes, Advisor: Prof. Gianluca Cubadda
Ana Botorce , Corporate Social Responsibility in Canadian Firms, Advisor: Prof. Rocco Ciciretti
Marco Bruno , The determinants of the Reverse Takeovers: the case of Europe, Advisor: Prof. Vincenzo Farina
Andrea Bulla , Venture capital investments in cyber-security startups: a social network approach, Advisor: Prof. Vincenzo Farina
Veronica Cannas , What happens to options when the underlying returns are predictable?, Advisor: Prof. Stefano Herzel
Giulia Carbotti , A regime-switching cointegration approach to pairs trading, Advisor: Prof. Gianluca Cubadda
Andrea Carcani , Scenario analysis for the energy sector’s transition risk in the context of climate change, Advisor: Matteo Bissiri
Paolo Cianci , ESG rating and financial performance during the SARS-CoV-2, Advisor: Prof. Rocco Ciciretti
Antonio Colasanto , Monte-Carlo assessment of excess staleness estimators, Advisor: Prof. Davide Pirino
Gaia D'Angeli , DCC-NL: model validation for portfolio and risk management in a large dimensional setting, Advisor: Prof. Tommaso Proietti
Samy Zakria Moustafa El Hallag , Forecasting the Electricity Demand in the Italian Market through Supervised Learning Methods, Advisor: Prof. Gianluca Cubadda
Federico Fattinnanzi , Climate Change, Political Economy and Financial Distress, Advisor: Prof. Ugo Pomante
Eric Festuccia , Predictability of Expected Returns, Advisor: Prof. Stefano Herzel
Marco Fioravanti , Anticipating market volatility using google trends data, Advisor: Prof. Vincenzo Farina
Diego Oswaldo Floreano Dominguez , Style-based Value at Risk: an investigation of equity emerging market mutual funds, Advisor: Prof. Ugo Pomante
Emanuel Ignacio Gamboa Quintanilla , Pairs Trading Strategy Efficiency: Cointegration Analysis in Derivative Markets, Advisor: Prof. Gianni Nicolini
Yasaman Ghafarisomeh , Detecting Asymmetric Jumps and Semi-variation in Forecasting Realized Volatility, Advisor: Prof. Gianluca Cubadda
Fidan Huseynli , The Green Finance approach to financial performance, Advisor: Prof. Rocco Ciciretti
Edis Izejrosji , Measuring the connectedness between European stock indices with variance decomposition, Advisor: Prof. Tommaso Proietti
Lorenzo Lo Pinto , Multivariate Logit Models for Household Financial Hardship in Italy, Advisor: Prof. Maura Mezzetti
Marco Lorenzo , High-Dimensional Density Forecasting for Financial Time Series, Advisor: Prof. Tommaso Proietti
Veronica Lupi , Approximated MLE for diffusion models discretely sampled: Focus on Vasicek and CIR, Advisor: Prof. Davide Pirino
Irene Magni , Private Equity and Turnaround Funds: an Italian case study, Advisor: Prof. Vincenzo Farina
Francesco Marconi , A Model for Central Counterparty Risk with Stochastic Default Intensities, Advisor: Prof. Katia Colaneri
Simona Margareta Mare , Empirical Analysis of the Mortgage Market Granted to Italian Families, Advisor: Prof. Rocco Ciciretti
Gianluca Michienzi , ESG vs Blend Investments: Evidence from International Markets, Advisor: Prof. Ugo Pomante
Hamed Molaei Shebilouysofla , The influence of corporate governance and firm performance on CEO compensation: panel analysis from the Canadian corporate sector, Advisor: Prof. Rocco Ciciretti
Simone Mosconi , Artificial Neural Networks for Option Pricing: an application to the Heston model Calibration, Advisor: Prof. Alessandro Ramponi
Merfat Nofal , Modelling Credit Risk with Big Data, Advisor: Prof. Tommaso Proietti
Alessandro Olivieri , Merger and Acquisition operations in the global energy sector: assessing Efficient Market Hypothesis, Advisor: Prof. Rocco Ciciretti
Saverio Piacenti , Value Creation Effect: Spin Off vs. Equity Carve Out, Advisor: Prof. Vincenzo Farina
Leonardo Procoli , The impact of Coronavirus (COVID-19) on market volatility, Advisor: Prof. Vincenzo Farina
Alberto Rainieri , Collateralized Interest Rate Swaps, Advisor: Prof. Stefano Herzel
Mohammad Rashidi Ranjbar , Comparison of volatility models for Bitcoin, Advisor: Prof. Tommaso Proietti
Daniele Ruffa , The Private Equity funds performance, Advisor: Prof. Vincenzo Farina
Cesare Russo , Portfolio construction considering the impact of shocks on higher moments, Advisor: Prof. Stefano Grassi
Mahshid Teimouri Toulabi , Machine Learning Algorithms in Default Loans Prediction, Advisor: Prof. Tommaso Proietti
Oscar Gustav Anders Thelander , Currency Options: Analytical Tractability versus Empirical Misspecification, Advisor: Prof. Stefano Herzel
Riccardo Traglia , A dynamic approach to Black-Litterman: Implementing a M-GARCH derived covariance matrix , Advisor: Prof. Ugo Pomante
Duc Dieu Vinh Vu , Risk assessment with value at risk and expected shortfall during crises, Advisor: Prof. Tommaso Proietti
Chaotong Wang , The financial performance of professional manager succession in the family business-a case study in the Media group, Advisor: Prof. Luca Gnan
Calascibetta Francesco , Crypto Coin and Applycation of Financial Derivatives on the ICOs, Advisor: Prof. Gianni Nicolini
Capoano Lorenzo , Optimal Combination of realised volatility estimators: a forecasting approach, Advisor: Prof. Gianluca Cubadda
Carosi Annalisa , Modeling the evolution of market uncertainty. Hedge Fund returns and Volatility of Aggregate Volatility within a dynamic perspective, Advisor: Prof. Stefano Herzel
Cascioli Aurora , High Dimensional Covariance Matrices Estimation: a comparison between Orthogonal GARCH and Generalized Orthogonal GARCH, Advisor: Prof. Tommaso Proietti
Cesaretta Claudio , Private Equity and Portfolio Performance, Risk and Diversification, Advisor: Prof. Ugo Pomante
Chen Jinghui , The Effect of Horizon on Dynamic Asset Allocation without Parameter Uncertainty, Advisor: Prof. Stefano Herzel
Ciarletta Sara , Fintech: analysis of the relevance in the different activity’s areas of Italian Banks, Advisor: Prof. Vincenzo Farina
Corio Michele , Forecasting stock index volatility using the daily range of price, Advisor: Prof. Tommaso Proietti
Delghandi Maral , Impact of Political Events on Stock Market Returns: Empirical Evidence from Tehran Stock Exchange, Advisor: Prof. Vincenzo Farina
Di Geronimo Leonardo , Optimal financial resources for Central Counterparties. Introducing default dependence of clearing members: a mixed binomial approach, Advisor: Prof. Stefano Herzel
Di Lelio Andrea , An Investable Cryptocurrency Index: the CRT30 Index, Advisor: Prof. Ugo Pomante
Di Matteo Alessandro , Modeling and forecasting the Italian yield curve with a dynamic Nelson-Siegel approach., Advisor: Prof. Alessandro Ramponi
Isernia Luigi , Weather risk management for utilities & energy: methodologies for estimating exposure and managing risk, Advisor: Prof. Gianni Nicolini
Krajenbrink Menno-Jan , Lockup Expiration Effects, Advisor: Prof. Vincenzo Farina
Li Zuho , Econometric Analysis of Skewness and Risk Premia in Asset Returns, Advisor: Prof. Tommaso Proietti
Molinaro Gianluca , A Financial Stress Index for Turkey, Advisor: Prof. Gianluca Cubadda
Monti Michela , Shrinkage estimation of the covariance matrix for portfolio optimization: an empirical assessment, Advisor: Prof. Gianluca Cubadda
Novikovs Rihards , Governance factors determining FDI inflows in emerging countries: cross-regional comparative study., Advisor: Prof. Vincenzo Farina
Sabbi Federica , The sentiment analysis: an application with the Black Litterman Model, Advisor: Prof. Ugo Pomante
Saponaro Onofrio , Cointegrated market neutral portfolios: identification and performance analysis, Advisor: Prof. Gianluca Cubadda
Sorbo Michele , Risk volatility measures: a comparison., Advisor: Prof. Tommaso Proietti
Sperati Alfredo Paolo , The impacts of ESG Performances on Cost of Equity and Cost of Debt, Advisor: Prof. Vincenzo Farina
Stursa Zbynek , Thresholding for high-dimensional covariance matrix estimation, Advisor: Prof. Tommaso Proietti
Turmunkh Khongor , The use of Derivatives by Mutual funds, Advisor: Prof. Gianni Nicolini
Wang Yuming , Refining the father to son model with the cases of Chinese family firms, Advisor: Prof. Luca Gnan
Yusifli Parvana , Female Employees’ Job Burnout in Foreign Capital Enterprise in China, Advisor: Prof. Alessandro Hinna
Yusifzada Parviz , Professionalization and Managerialization in Small and Medium Family Firms, Advisor: Prof. Luca Gnan
Zeccolella Gianlorenzo , The effect of Mergers and Acquisitions on Bidder Default Risk in the Banking Sector, Advisor: Prof. Stefano Caiazza
Bardeli Aurel , Attribution of ex-ante performance and risk to market sectors, Advisor: Prof. Ugo Pomante
Bilardi Andrea , Dimension Reduction Methods and Har: forecasting analysis, Advisor: Prof. Prof. Gianluca Cubadda
Borin Carlo , A comparison of wrong-way risk Credit Value Adjustment using different techniques: change of measure, 2D Monte Carlo, Gaussian Copula resampling approach and Basel III, Advisor: Prof. Alessandro Ramponi
Caprasecca Mirko , Can market reaction on announcement date affect M&A failure? Evidence from financial deals in the U.S. market, Advisor: Prof. Stefano Caiazza
Ciolli Andrea , Target Cumulative Abnormal Return to M&As in US Banking Sector from 2000-2018, Advisor: Prof. Stefano Caiazza
Diaferia Savino , Merger Arbitrage: Profitability and Risk-Return Characteristic in the Italian Market, Advisor: Prof. Vincenzo Farina
Filippi Nicolò , The counterparty credit risk and its implication on profit and loss statement and regulatory capital, Advisor: Prof. Stefano Herzel
Forte Federica , Portfolio Optimization using Conditional Value at Risk: Application and Comparison with the Black-Litterman Model, Advisor: Prof. Ugo Pomante
Gurbanli Orkhan , The Impact of Training and Motivation on Organizational Performance, Advisor: Prof. Alessandro Hinna
Iovino Valeria , A zombie bank is in town! Empirical analysis about the health condition of the Eurozone banking system in the 20th century, Advisor: Prof. Stefano Caiazza
Orlova Victoria , Estimating probability of sovereign defaults, Advisor: Prof. Maura Mezzetti
Porcaro Tommaso , Financial Applications of Time-Varying Copulas, Advisor: Prof. Tommaso Proietti
Rezaeighasemkheili Ali , The impact of news on the US dollar index futures, Advisor: Prof. Gianni Nicolini
Serafino Barbara , Renewable Energy Derivatives and the securitization of cash-flows, Advisor: Prof. Gianni Nicolini
Smorra Luca , The Italian market of NPL: Banca IFIS case study, Advisor: Prof. Vincenzo Farina
Zhang Ge , Derivatives Usage and Gender Diversity of Board of Directors, Advisor: Prof. Gianni Nicolini
Cairone Simone , The inductive research of the change in decision-making of family business founder, Advisor: Prof. Tommaso Proietti
Genovese Jacopo , The Growth of Reits Market in East Asia, Advisor: Prof. Ugo Pomante
Gentile Cristina , Measures of Asymmetric Information in Financial Markets, Advisor: Prof. Davide Pirino
Novikov Yurii , What are the country specific factors that influence the foreign direct investment?, Advisor: Prof. Vincenzo Farina
Renzetti Francesco , Empirical analysis on the phenomenon of delisting, Advisor: Prof. Vincenzo Farina
Schiavo Edoardo , Financial crisis, Buyout investments, and Corporate performance: the Italian case, Advisor: Prof. Vincenzo Farina
Fu Yite , The inductive research of the change in decision-making of family business founder, Advisor: Prof. Luca Gnan
Vittiglio Emanuele , Cointegration and trading opportunities: an empirical analysis Advisor: Prof. Vincenzo Farina
Rognone Lavinia , Pricing interest rate derivatives in a negative yield environment, Advisor: Prof. Stefano Herzel
Melone Alessandro , Understanding and Forecasting Financial Market Volatility Over Long Horizons, Advisor: Prof. Tommaso Proietti
D'Aria Marianna , The Credit Valuation Adjustment: Regulation and Implementation, Advisor: Prof. Stefano Herzel
Cesaroni Giulia , Contingent Convertible Bonds - A Market-Conform Equity Derivative Model, Advisor: Prof. Stefano Herzel
Carrozi Stefano , Negative Rates in the SABR Model, Advisor: Prof. Stefano Herzel
Bernardi Cristiano , Four Moments Portfolio Optimization: an Empirical Test, Advisor: Prof. Ugo Pomante
Almonte Stefania , Assessing the predictive ability of financial variables through a mixed frequency approach: some evidence from the Italian case, Advisor: Prof. Gianluca Cubadda
Baggia Douglas , Succession Process In Family Owned Businesses in Honduras: Incorporating new young members, Advisor: Prof. Luca Gnan
Barrano Salvatore , The Implied volatility as a risk predictor: the case of Brexit, Advisor: Prof. Gianni Nicolini
Giacomazzi Consuelo , Optimization of CFDs portfolio implementing SMA technique, Advisor: Prof. Gianni Nicolini
Moradi Hadi , The Determinants and Investigating of CANSLIM Method Profitability for Evaluation of Tehran Stock Exchange Stocks, Advisor: Prof. Sandro Brunelli
Maino Andrea , Time Varying Dependence and Panic Copula model for Risk Measurements, Advisor: Prof. Stefano Herzel
Petrova Denitza ,On Psychological Barriers and Price Behaviors: Evidence from Eastern European Markets, Advisor: Prof. Gianni Nicolini
Riccardo Antonio , Vector Heterogeneous Autoregressive Index Model: an application on NYSE mahjor Banks'assets, Advisor: Prof. Gianluca Cubadda
Svetlomirova Biliana , Cryptocurrency:Nature and Features, Advisor: Prof. Williams De Ascaniis
Verneau Guglielmo , Loss Estimation in Structured Credit Products, Advisor: Prof. Stefano Herzel
Taraborrelli Jessica , The Management of A Real Estate Fund, Advisor: Prof. Ugo Pomante
Scalia Roberto , Forecasting Real Estate Prices, Advisor: Prof. Tommaso Proietti
Sardo Simone , Sovereign CDS: how the default probability influence the market, Advisor: Prof. Gianni Nicolini
Santurelli Simone , The impact of reputation on banks liquidity risk: a study of italian listed banks, Advisor: Prof. Vincenzo Farina
Rinaldi Francesco , Portfolio construction and valuation: machine learning techniques applied to quantitative trading system, Advisor: Prof. Ugo Pomante
Procacci Pierfrancesco , Flexible Bayesian Framework in Portfolio Construction: Entropy Pooling, Advisor: Prof. Ugo Pomante
Petrilli Luka , Undirected Graphs for Large Scale Portfolios of European Stocks, Advisor: Prof. Tommaso Proietti
Maino Andrea , Behavioral risk modeling and Agency MBS valuation, Advisor: Prof. Stefano Herzel
Luzzi Francesco , News related to macroeconomic variable as risk factors on equity returns: evidence from Asian markets, Advisor: Prof. Rocco Ciciretti
Jiao Xuyang , Are There Tournaments in Mutual Funds?, Advisor: Prof. Stefano Herzel
Iasenzio Stefano , A Vector Heterogeneous Autoregressive Index Model for Realized Volatility: some empirical results for European Equity Indexes, Advisor: Prof. Gianluca Cubadda
Cortesini Alessandro , Test on Fama French factor on Hong Kong Singapore and India stock market, Advisor: Prof. Rocco Ciciretti
Cordiner Lorenzo , Statistical Arbitrage with Index Options: An Empirical Study of the European Option Market, Advisor: Prof. Marianna Brunetti
Carnevali Laura , An Empirical Analysis of the Italian attitude toward Mortagage Refinancing, Advisor: Prof. Rocco Ciciretti
Avoli Alessandro , The CDS spread and spread charge determinants in the US Market, Advisor: Prof. Marianna Brunetti
Arnone Raffaella , Econometric analysis of Value-at-Risk and Expected Shortfall, Advisor: Prof. Tommaso Proietti
Di Cosmo Marco , Calendar anomalies: Evidence from Real Estate Investment vehicles, Advisor: Prof. Gianluca Mattarocci
Fortuna Alice , Multiple bankin: the Italian case, Advisor: Prof. Marianna Brunetti
Korsaye Sofonias Alemu , Artificial Neural Networks for Implied Volatility Surface: Construction and Dynamics, Advisor: Prof. Cesare Robotti
Romaniello Christian , Central Couterparties: A numerical implementation of the default waterfall, Advisor: Prof. Stefano Herzel
De Michelis Francesco , Technical Anlysis, Advisor: Prof. Stefano Herzel
Torelli Edoardo , Convexity Correction for Interest Rate Derivatives, Advisor: Prof. Stefano Herzel
Aguilar Jauregui Catherine Stefany , Sustainability and outreach trade-off of Microfinance Institutions in Peru, Advisor: Prof. Leonardo Becchetti
Bologni Enrico , The effects of Microfinance on poverty reduction. The Case study of Buen Vivir, Ecuador, Advisor: Prof. Leonardo Becchetti
Borzi Chiara , Real Estate Factor Premium, Advisor: Prof. Gianluca Mattarocci
Brescia Mauro , The optimal capital structure of the firm with taxes, bankruptcy costs and stochastic volatility, Advisor: Prof. Stefano Herzel
Cavarretta Maria Chiara , Power Options in the Italian electricity market: an assessment of their potential in managing risk for the Italian operators, Advisor: Prof. Gianni Nicolini
Cea Lorenzo , A LIBOR Market Model with Multiple Curves, Advisor: Prof. Stefano Herzel
D'Orazio Gianpaolo , Portfolio construction and empirical testing of Black Litterman model, Advisor: Prof. Ugo Pomante
Goudarzi Mostafa , Dynamic Spillover Effect in Future Markets, Advisor: Prof. Gianni Nicolini
Leone Stefano , ALM logics for Pension Funds, Advisor: Prof.Ugo Pomante
Principe Claudia , Impact of International Cross-Listing on Stock Liquidity: Evidence from European Stock Exchanges, Advisor: Prof. Gianluca Mattarocci
Sajadi Zahra , A review on the impact of venture capital on family businesses, Advisor: Prof. Luca Gnan
Serafini Alberto , Comparative analysis of socially responsible and traditional investments, Advisor: Prof. Stefano Herzel
Turchetti Cristiano , An affine term structure for European interbank risk, Advisor: Prof. Stefano Herzel
Verico Marco , Eccomi!. The App for one-to-one volunteerism. From idea generation to fundraising, Advisor: Prof. Williams De Ascaniis
Amiraslanov Farid , A comparative analysis of the family business governance in UK, Canada and China, Advisor: Prof. Luca Gnan
Azzarelli Filippo , The impact of corporate governance on capital structure, Advisor: Prof. Vincenzo Farina
Bernardo Giuseppe , Lines of credit in corporate finance, Advisor: Prof. Gianluca Mattarocci Colarossi Daniele, Active management and returns dispersion, Advisor: Prof. Rocco Ciciretti
Di Mario Alessio , Prospectus content, investor attention and IPO first-day returns, Advisor: Prof. Vincenzo Farina
Ducci Lorenzo , Estimating the probability of default with balance sheet information: an empirical analysis on US SMES during the last financial crisis, Advisor: Prof. Marianna Brunetti
Febo Angelo W. , Liquidity, market impact and optimal trading strategies, Advisor: Prof. Stefano Herzel Formichella Valentina, The credit value adjustment, Advisor: Prof. Stefano Herzel
Giosi Pierluigi , Pricing variance swap contracts, Advisor: Prof. Stefano Herzel
Gomez Walter Alexandar , Return based style analysis of globally invested flexible mutual funds, Advisor: Prof. Ugo Pomante
Klimovich Sergey , An analysis of co-integration of financial derivative markets in a worldwide perspective, Advisor: Prof. Gianni Nicolini
Li Yanjun , Credit cycle and macroprudential policy, Advisor: Prof. Luisa Corrado
Maccari Laura , The creditworthiness evaluation through the rating system: an empirical application to the construction industry, Advisor: Prof. Gianluca Mattarocci
Malek Mohammadi M. , Portfolio optimization with parametric quadratic programming, Advisor: Prof. Stefano Herzel
Mao Wenli , The influence of venture capital on family governance system, Advisor: Prof. Luca Gnan
Mtengwa Nyashadzashe , Impact investing: an advanced market capital allocation framework, Advisor: Prof. Ugo Pomante
Piccirelli Alessia , How diversification affects idiosyncratic and overall risk of open-end equity funds, Advisor: Prof. Rocco Ciciretti
Quaranta Nicoletta , CSR and idiosyncratic volatility, Advisor: Prof. Rocco Ciciretti
Ranalli Giulia , Minibond. What kind of issuers are SMES? Evidence from the financial statement analysis, Advisor: Prof. Ugo Pomante
Setaro Arianna , Short term inflation density forecasting with a Bayesian Var, Advisor: Prof. Tommaso Proietti
Stragapede Michele , Portfolio value at risk with jumps, Advisor: Prof. Stefano Herzel
Strauss Magdalena , A discussion of a matrix exponential model for spatially correlated data, Advisor: Prof. Maura Mezzetti
Tamburri Matteo , A comparison of forecasting performances between random walk, Garch-m and Egarch-m, Advisor: Prof. Marianna Brunetti
Totev Aleksandar , Corporate ownership of American and German companies: a comparative analysis of dual-class shares. Market performance and tendencies, Advisor: Prof. Luca Gnan
Troiano Federica , Labor market differences between natives and immigrants, Advisor: Prof. Franco Peracchi
Tucci Simone , The usefulness of the omega ratio in evaluating investment opportunities in the Greek Market, during the crisis, Advisor: Prof. Gianluca Mattarocci
Viselli Gabriele , The share of income from non-intermediation activities in the European cooperative Banks, Advisor: Prof. Rocco Ciciretti
Wang Cizhi , Case study in Wanda and Huawei, so that we can find some suggestion on shareholder structure and employees motivation, Advisor: Prof. Luca Gnan
Abbasov Farid , Liqudity risk at Basel III, Advisor: Prof. Gianluca Mattarocci
Canori Alfredo , Basel III: A new regulatory framework, Advisor: Prof. Sandro Brunelli
Cesari Lorenzo , ESG performance and financial performance of equity mutual funds, Advisor: Prof. Stefano Herzel Di Rocco Andrea, Corporate social responsibility around the world, Advisor: Prof. Vincenzo Farina
Ficcadenti Valerio , Inflation and growth: some empirical results from the European Union countries, Advisor: Prof. Giovanni Trovato
Kelemen Iringo Anna , Tactical asset allocation embedding with the Black-Litterman model's views, Advisor: Prof. Ugo Pomante
Kraujutaityte Faustina , Competition among stock exchanges : comparison of listing regulations of singapore stock exchange and London stock exchange, Advisor: Prof. Nicoletta Ciocca
Marcone Michela , Stochastic methods for capital budgeting analysis, Advisor: Prof. Roberto Monte
Norante Valentini Giulio , Multinational companies and currency risk in the speculative attacks, Advisor: Prof. Gianluca Mattarocci
Petrini Francesco Maria , From Bail-out to Bail-in: a new framework of rules", Advisor: Prof. Leonardo Becchetti
Petrongari Michael , Future on Commodities: Agrex – Agricultural Derivatives Exchange, Advisor: Prof. Gianni Nicolini
Rahimli Sarkhan , Constant proportion portfolio insurance strategies and Related gap risk measures for processes with jumps and Applications, Advisor: Prof. Sergio Scarlatti
Razi Bibi Alia , The difference between the modern marketing management practices of family business, Advisor: Prof. Luca Gnan
Recupero Silvia , The Gold Pricing: Evidence from the Spot and the Future Gold Pricing, Advisor: Prof. Gianni Nicolini
Scalone Chiara , Italian target maturity funds: investment style and performance analysis, Advisor: Prof. Rocco Ciciretti
Tallarida Tiziano , Asset market microstructure: order book analysis, Advisor: Prof. Stefano Herzel
Bendziute Dovile , Commercial and Investment Banking in Economies with Asymmetric Information, Advisor: Prof. Eloisa Campioni
Cilla Edoardo , Measuring and modelling the risk of liquidity, Advisor: Prof. Stefano Herzel
Del Signore Piera , Evaluating Density Forecasts for Financial Time Series, Advisor: Prof. Tommaso Proietti
Donato Ludovico , Investor Sentiment and Asset Prices Can a protable trading strategy be devised from a Pessimism index?, Advisor: Prof. Ugo Pomante
Girardi Alessio , Investing in vice: An empirical study based on the U.S. market, Advisor: Prof. Ugo Pomante
Grasso Adriana , Dynamic portfolio strategies with liquidity costs, * Advisor: Prof. Stefano Herzel
Haddad Khalil , Financial Analysis: Different Parts and Their Usages, Advisor: Prof. Ugo Pomante
Lamaj Erisa , An overview of VaR. An application of Block Maxima method in risk management for heavy tailed stock returns, Advisor: Prof. Ugo Pomante
Malatesta Fabrizio , Ethical funds and liquidity risk, * Advisor: Prof. Stefano Herzel
Mariotti Sara , Pricing and hedging CDOs using copulas, Advisor: Prof. Stefano Herzel
Oshafi Vesna , Trading in secondary loan markets, Advisor: Prof. Andrea Kamal Attar
Sarcinelli Nicola , Value creation through strategic diversification: the Fincantieri case, Advisor: Prof. Sandro Brunelli
* judged "particularly relevant" in the contest of the prestigious Bank of Italy Prize "Giorgio Mortara", for the best thesis of the year
Capo Mariangela , Managing risk exposures using the risk budgeting approach: the equal risk contribution portfolio construction and analysis, Advisor: Prof. Ugo Pomante
D'Onofrio Rossella , Pricing the Energy: the case of the European natural gas, Advisor: Prof. Stefano Herzel
Flores Deborah , A tactical asset allocation perspective applied to the black-litterman model, Advisor: Prof. Ugo Pomante Inglese Gabriele, Home bias and new measures of bias in asset allocation, Advisor: Prof. Ugo Pomante
Lautizi Francesco , Empirical estimates of pricing kernel and risk aversion, Advisor: Prof. Stefano Herzel Manenti Dario, Flexible funds: strategies and performances, Advisor: Prof. Ugo Pomante
Pavana Marco , Mutual fund performance: active versus passive management, Advisor: Prof. Ugo Pomante
Sangrigoli Dario , The evolution of the finance-growth nexus: past studies and new perspectives, Advisor: Prof. Leonardo Becchetti
Santorelli Giulio , Demographic structure and asset returns: A new prospective from international data, Advisor: Prof. Marianna Brunetti
Cassetti Sante , Sequential conditional Correlation, Advisor: Prof. Tommaso Proietti
Santangelo Daniela , The Goldman Sachs event and SRI funds, Advisor: Prof. Rocco Ciciretti
Formica Francesco , Basel III and its potential impact on global banks, Advisor: Prof. Stefano Caiazza
Periotto Marco , Provate equity and venture capital market in Italy: performances and potential development, Advisor: Prof. Vincenzo Farina
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Thesis Writing in MBS: Procedures and Practices
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Pranisha Shrestha
This paper has been prepared with an objective to provide the official guidelines to the MBS students to write the thesis and prepare the project work assignment, and teachers to guide their students in writing the thesis and preparing the project work assignment. So, this paper has included formats of thesis and project work assignment prescribed by Office of the Dean, Faculty of Management, Tribhuvan University and necessary procedures of the submission of thesis and project work assignment. WRITING IS THE IMPORTANT aspect in the syllabus of all the programs in Faculty of Management (FOM). In bachelor program, Bachelor in Business Studies (BBS), students have to write a field report in their third year on the elective course in sectoral area, in all the semester programs like Bachelor in Business Administration (BBA), Bachelor in Information Management (BIM), Bachelor in Hotel Management (BHM) and Bachelor in Travel and Tourism Management (BTTM), the students have to write project work or term paper. The business students at master level need more orientation and more depth in their writing process so that they feel comfortable in reading as well as independent writing during their graduation from FOM. 1. Need and Objective of Thesis/Project Work The need of thesis writing or project work writing in Master of Business Studies (MBS) level in FOM is to develop the student's skill on doing independent research work in their specialization field and to enable them to present their work on a standard format of writing. The exercise that the students go through during the research process and writing process becomes practical training for them that shall be highly beneficial to them in gaining practical knowledge. Therefore, realizing the importance of writing in the master level, thesis writing, or project work writing has been made compulsory in MBS program. 2. Objective of the Paper The objective of this paper is to highlight the procedures of Thesis/Project Work Writing in MBS level of FOM and the practices being adopted in the faculty. The paper also aims to raise some practical issues based on the experience of students, guide teachers, expert teachers and the administration; both campuses and dean office. 3. Procedures of Thesis / Project Work Writing The thesis or project work writing is compulsory in master level of FOM in the respective specialization courses. MBS students who have passed all the courses of the first year program are eligible to write the thesis under the supervision of a faculty member of the campus or central department. The students who have not completed the first year, that is, failed in one or more courses are not allowed to write thesis. However, the students are allowed to write project work in such case. It has been observed that the students who
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“MBS Outstanding Thesis” – The Best Final Papers of 2021
February 25, 2022
Last year, four further theses produced by our MBS graduates were selected for inclusion in ‘ MBS Outstanding Thesis’, a series of working papers. This blog article introduces the outstanding final papers in 2021.
Whether at bachelor’s or master’s level, a thesis is more than just the final step towards completing a degree: it can also make a significant intellectual contribution to academic and societal discourse. Students at Munich Business School are no exception, conducting high-level research as part of their theses. However, given that it is not usually possible to have these papers published in academic journals, Munich Business School’s Prof. Dr. Bartholomae launched a series of working papers entitled ‘MBS Outstanding Thesis’. In the fall of 2020, the first installment in the series recognized and published the master’s thesis of MBA graduate Jiaojiao Zhao .
At the start of the 2021/22 academic year, MBS asked its professors to put forward exceptional theses for inclusion in the series. Submissions not only required excellent grades but also had to exhibit innovative approaches and methods and provide novel insights. One bachelor’s and three master’s theses stood out in particular and have been awarded the designation “MBS Outstanding Thesis”. The authors hail from Europe, Asia and South America – the topics they covered are similarly diverse and as broad-based as the university’s curriculum.
Here’s an introduction to the four outstanding theses:
The Implementation of Socially Sustainable Supply Chains in the German Natural Stone Industry Using the Example of Trade with India
In her bachelor’s thesis, Eva Maria Fröhlich investigated the social sustainability of supply chains in one of the few industries for which the recently passed Supply Chain Act does not apply. Focusing on the trade with India and using qualitative research methods, the author examined which concrete criteria and implementation strategies of social sustainability are relevant and currently beeing applied in the natural stone industry. She established the importance of strengthening the implementation of cooperative strategies and which criteria should be taken into account beyond the avoidance of child labor. Furthermore, she identified which communication strategies can be used to raise awareness among end customers and which legislative measures could provide essential support for socially sustainable supply chains. Click here to read the full paper.
Case Study Concept for Microsoft to Support the Digital Transformation in German SMEs
Mauritius Freuding, who graduated from the master’s program in International Business , researched the needs of small and medium-sized enterprises in the field of cloud computing. During his analysis of cloud computing, he also found ways to make this complex topic comprehensible to people who are not domain experts. In addition, Freuding developed a method of outlining the benefits of cloud computing for small and medium-sized enterprises. Microsoft has since adopted Freuding’s method as its standard procedure for adapting cloud computing solutions to the needs of SMEs – a ringing endorsement of his innovative approach. Click here to read the full paper.
Esports Sponsorship Effectiveness on Brand Association and Purchase Intent
Yi-Chun Chen focused on this barely researched but highly topical field for her thesis as part of the MBA International Management program (the former name of the MBA program at MBS, renamed MBA General Management in 2019). She surveyed almost 400 Taiwanese gamers and analyzed the data she collected using structural equation modeling (SEM). The findings? Attitudes towards the sponsor, the suitability of the event-sponsor fit, and the sponsor’s involvement in activities had a significant influence on gamers’ association with the brand and their intention to purchase a product from the sponsor. Brand association also plays an important role in forecasting purchase intention. Based on these insights, Chen also developed a number of highly instructive recommendations for both marketing professionals and further research. Click here to read the full paper.
The Emergence of Green Bonds as Innovative Financial Instruments
For his final paper in the MBA General Management program , Nicolas Penuela carried out a bibliometric analysis of the rise of green bonds as innovative financial instruments. He examined a dataset of 98 academic articles on green bonds published between 2008 and 2020. Using a qualitative filtration process, the MBA graduate initially analyzed controversial topics cited most frequently in the articles. Then, using a piece of software called Biblioshiny , he identified trends and gaps in green bonds research and divided his findings into three chronological phases, which allowed him to demonstrate how published articles developed over time. Finally, Penuela put forward a dynamic template for analyzing journal articles to help (future) academics to familiarize themselves with this new yet rarely used research discipline. This highly innovative topic is currently gaining considerable momentum in the field of sustainability. Click here to read the full paper.
Munich Business School would like to congratulate its graduates on these outstanding pieces of work! An overview of all final papers in the ‘MBS Outstanding Thesis’ working paper series can be found here .
- Bachelor International Business
- Bachelor's Thesis
- Bibliometrics
- Cloud Computing
- Digital Transformation
- Final Thesis
- Green Bonds
- Master International Business
- Master's Thesis
- MBA General Management
- MBS Outstanding Thesis
- Natural Stone Industry
- Social Entrepreneurship
- Social Responsibility
- Social Sustainability
- Sports Business
- Sports Sponsoring
- Sustainability
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- Updated on
- Jan 11, 2024
Also known as the study of investments, Finance is a combination of two interrelated subjects – how money is handled and the process of obtaining money. One of the reasons why postgraduate students struggle with their Finance dissertation topics is that they do not spend enough time planning it. It is important for students to be extremely careful while writing a finance dissertation as it contributes a lot to their respective degrees. This blog provides you with the best topics, a dissertation structure, and more.
This Blog Includes:
What is a finance dissertation, why finance dissertation topics are important, tips to find excellent dissertation topics on finance, writing tips for finance dissertation, how to plan your work on a finance dissertation, how to structure a finance dissertation, finance dissertation general topics , topics related to india, mba dissertation topics, banking dissertation topics , accounting dissertation topics, research project example, final consideration and conclusion.
Finance dissertations, as the name implies, are pieces of writing that study a certain finance topic chosen by the student. The subjects covered include anything from the stock market to banking and risk management to healthcare finance. This dissertation gives the student academic self-assurance and personal happiness in the subject of finance. Finance writing necessitates substantial research in order to produce a compelling report.
The majority of students have no idea why finance dissertation themes are so crucial. However, put yourself in the shoes of your lecturer. You’ve already read hundreds of theses. The majority of them covered the same ground — issues that you’re already tired of hearing about. Then there’s a topic with a distinct, intriguing theme. Something that piques your interest and entices you to read more. Wouldn’t you give those pupils some extra credit? You’d do it! This is why there are so many fantastic finance dissertation topics. You can get extra points for your efforts. The topic of your paper might mean the difference between a good and a terrific grade.
It’s difficult to come up with anything unique and interesting. There are, nevertheless, ways to come up with interesting ideas. Here are a few pointers on how to locate them:
- Read a fantastic finance dissertation and find for areas where further study is needed.
- Go to the library and read a couple theses to get some ideas.
- Inquire with a writing agency about some ideas from one of their professional dissertation writers.
- In writing forums and blogs, ask for assistance. If you ask gently, people will give you some excellent suggestions.
- Look for ideas on the internet, but don’t use them exactly as they are. Make them distinctive by changing them.
- Talk to other students who are working on their dissertations and find out what other ideas they had before settling on the present topic.
- Narrow down your topic : Your financial topic should be narrowed down to a certain niche. It should concentrate on a single area, such as microfinance, microfinance, or online banking.
- Verify your facts: Finance is a topic that requires a great deal of logical analysis of statistical data. As a result, double-check facts and statistics using credible sources before using them in your paper.
- Write concisely: You should condense a financial paper into a tight, succinct work, unlike other papers with extended narrative narratives. At this length, the adage of ‘short is sweet’ theoretically applies.
- Arrange your data neatly: A report that is crammed with numbers and graphs may turn off a reader at first glance. Know how and when to utilise your data for a great financial thesis.
- Write simply: Avoid using jargon that might be confusing to a non-technical reader. When technical terminology are required, utilise accessible examples to convey them. In a finance dissertation, simplicity is king. So make good use of it.
Dissertation submission is very important to obtain a PG Degree. You are supposed to submit the work by the end of your study course, so by the last year of your degree, you may have got enough ideas and problems dealing with finance. While starting with a finance dissertation topic you should always remember that the purpose of a Finance Dissertation is to demonstrate your research ability, how you analyze specific data and come up with a conclusion. Mentioned below is a step to step guide for you to start working with:
Step 1 : Choose a relevant and interesting topic for your research
Step 2 : Discuss and receive feedback from your supervisor
Step 3 : Finalise the research methods to prove the significance of the selected topic
Step 4 : Gather the required data from relevant sources
Step 5 : Conduct the research and analyse the acquired results
Step 6 : Work on the outline of your dissertation
Step 7 : Make a draft and proofread it. Discuss with your advisors if any changes are to be made
Step 8 : Make the required corrections.
Step 9 : Draft the final dissertation
Also Read: Check out the Top Course in Finance
There are so many different ways you can structure your dissertation. But the most common and universally accepted way is as follows:
- Introduction
- Literature review
- Methodology
- Analysis of the data and Significance/Implications of the acquired results
Also Read: Executive MBA in Finance
Finance Dissertation Topics
Finance is an extensive field, you can explore a lot of areas related to finance to choose a dissertation topic. Here we’ve mentioned the best finance dissertation topics to make it easier for you:
Mentioned below are some of the topics related to the recent issues in the world:
- The negative impact of microfinance in developing countries.
- The effects of population growth on economic growth in China
- Cryptocurrency: Are we ready to digitalise the monetary world?
- Analyzing the financial statements of VISA and MasterCard
- Why do banks oppose digital currency?
- Risks and benefits associated with digital money transferring technology
Also Read: Top MBA course to pursue
- Investing in India’s technology sector – obstacles and opportunities
- Foreign investment and its effects on economic growth in India
- The effect of corporation investments in the economic development of the community
- Comparing financial development in Asia and Europe
- Did the banks help Small Medium Enterprises to grow in India in the last 5 years?
- The Indian Economic Crisis of 1991
Best MBA Dissertation Topics
Be careful while choosing an MBA Dissertation Topic as it involves more intense study. Make sure the topic you’ve chosen remains within your field of study. We’ve listed some of the best topics you can choose for an MBA Dissertation:
- Management skills an entrepreneur need
- The place of communication for effective management in the workplace
- How technology took over management
- The impact of good leadership in an organization
- How does a strong social media presence affect a company’s marketing strategies?
- Human resource management in non-profit organizations
- The importance of employee motivation programs on productivity
- Management’s socio-cultural background and how it influences leadership relationships
- How do employment benefits impact employee and company’s productivity?
- Business team performance in multinational corporations
Best Finance Universities in the USA
- Study on Future Options in Markets in India
- Gold as an Investable Commodity in India
- Study on Impact Of Corruption On FDI Inflows In India
- The Impact Of The Money Supply On Economic Growth In India
- Capital Structure Of The Business Enterprises In Delhi NCR
- GST And Its Effect on MNC Manufacturing Companies
- Analysis of the Insurance Industry in India
- Analysis of HDFC Bank Finance
- Comparative analysis of HDFC Bank with ICICI bank
- Comparison of Market Share in Public Sector Banks VS Private Sector Banks
- The impact of online banking on the world.
- Risk factors and security issues that are inherent in online banking.
- Fraud and identity theft is accomplished via internet banking.
- Advantages and disadvantages of internet banking for consumers.
- Risk management in investment banking
- The rise of growing banking sectors in developing nations.
- Issues surrounding banking in China’s growing economy.
- The impact of the Federal Reserve on the United States and global economy
- Banking and asset-liability in management.
- The strategies to use online banking technology to attract customers.
All you need to know about a Banking Course
- Case study of the impact of industry and public knowledge on the market share index’s fluctuation
- Significance of auditing for large corporations
- Examining India’s country’s tax scheme
- What to consider when investing in financial markets?
- From an accounting perspective, risk-taking in companies and its effects
- Evaluate the differences and similarities between external and internal auditors
- Can taxation be considered a human rights policy? Analyse the problem
- What are the consequences of India’s current tax structure on individuals with a lower income?
Accounting courses
We’ve included a Finance Dissertation Research Example with reference to a Finance Dissertation Structure:
- The Indian Economic Crisis of 1991 – The title of your Finance Dissertation must focus on your research objective.
- Abstract – The 1991 Indian economic crisis was…………….. imports and other external factors. The abstract part must include a summary of the research problem or objective of the research, the research design and a summary of the results.
- Introduction – The introduction must reflect your research on the Indian Economic Crisis of 1991 in a way that the audience already gets to know what the research is going to include.
3.1 Background (background of the study)
3.2 Problem Statement (significance of the problem in context)
3.3 Purpose/Research Questions (What caused the Crisis, how was the crisis revived etc.)
- Review of Literature – The Review of Literature Section must include a theoretical rationale of the problem, the importance of the study, and the significance of the results.
- Methodology – The Methodology Section must include the description of the subjects, research methods used in the data collection and any limitations issues involved.
- Significance/Implications (Results of the Discussion)
*Please note that the above-mentioned structure is only for your reference to get an idea of writing a Finance Dissertation.
Choosing the right topic for your Finance dissertation to plan the work, all the above-mentioned aspects must be given equal importance. This blog has included the best dissertation topic in finance in MBA, accounting, and banking you can choose while writing a dissertation.
Finance research papers and dissertations should be prepared in a way that answers the core question while also being relevant to the remainder of the study. For example, if the dissertation’s major question is “what is the link between foreign exchange rates and the interest rates of a specific country,” the dissertation should provide suitable illustrations to help illustrate the topic. It should also go through the major and minor concerns that are relevant to this topic. Furthermore, utilise proper language to ensure that the article is readily understood by readers. The overall purpose of the project is to produce a well-written, well-researched, and well-supported dissertation.
It takes around 2 years to complete an MBA in India while 1 year to complete a full-time MBA in other countries.
A finance dissertation must be 100-300 pages long.
It takes around 5 years to obtain a Doctorate in Finance.
Hopefully, this blog assisted you in finding out your finance dissertation topics and structure for your course. If you require any assistance regarding your application process while enrolling for your further studies, our experts at Leverage Edu are just one click away. Call us anytime at 1800 572 000 for a free counselling session!
Damanpreet Kaur Vohra
Daman is an author with profound expertise in writing engaging and informative content focused on EdTech and Study Abroad. With a keen understanding of these domains, Daman excels at creating complex concepts into accessible, reader-friendly material. With a proven track record of insightful articles, Daman stands as a reliable source for providing content for EdTech and Study Abroad.
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Important thesis topic in finance.
- Impact of privatization on non-performing loans of banks in (country name)
- Risk assessment and decision making in business and industry
- Impact of awareness on the choice of short-term financing (A case study of yarn merchants)
- Impact of privatization on profitability & capital employment of stated owned enterprises in (country name)
- Enterprise risk management (an essential process for sustainable profit and growth)
- Audit fee expense and size of the company in (country name)
- Determinants of capital structure in cement industry of (country name)
- Impact of gross loan portfolio on microfinance value saving comparison between microfinance institutions and microfinance banks
- Impact of interest rate on stock market
- A study based on the effects of interest rate on share price
- Comparison of micro finance institutions, micro-finance banks and micro finance institutions and development of entrepreneurial skills
- Empowering women though microfinance
- Banking and currency crisis causality from banks crises to currency crises
- Patronage factors of Islamic banking system in (country name)
- Analysis of profitability of banks: comparative study of domestic & foreign banks in (country name)
- Financial exclusion: market versus self-driven causes
- A study on the inhibitions experienced by existing and non-existing users towards online banking in (country name)
- Correlation study between measures of financial performance of banks in (country name)
- Comparative study of credit scoring methods between local and foreign banks of (country name)
- Market interest rate and commercial bank profitability in (country name)
- Determinants of corporate dividend payout policy
- Effects of free cash flow on profitability of firms
- Fundamentals and stock return: Empirical study of cement industry in (country name)
- Relationship between stock prices and rupee dollar parity in (country name)
- The relation of credit risk rating with financial ratios in (country name)
- Factor influencing individual investor behavior: the case of the stock exchange (e.g. New York Stock Exchange)
- Determinant of dividend payout ratio: A study of fertilizer sector
- Fundamentals and stock returns in (country name)
- The differential impact of Islamic banking on car loans and house financing through banks in (country name)
- A study on relationship between stock market development and economic growth in (country name)
- Effects of mergers and acquisition in banking sector of (country name)
- Impact of privatization of banks on profitability
- The impact of interest rate risk on the profitability of Islamic and conventional banks
- Relationship between cash flow and capital spending in pharmaceutical industry of (country name)
- Effect of fund size on mutual fund performance
- Comparison of financial performance in banking sector
- Determinants of capital structure: A study of sugar and allied sector of (country name)
- Can risk aversion indicator anticipate financial crises
- Cash flow and capital spending relationship: evidence from automobile sector
- Targeting consumer segment: A sustainable growth for mutual funds
- Relating risk factors with contemporary distribution channels
- Impact of privatization on profitability and efficiency of banks in (country name)
- Money supply chain and stock prices
- A comparative study between micro-finance banks, micro-finance institutions and rural support programs in creating self-employment in (country name)
- Validating of CAPM in predicting stock prices at stock exchange (e.g. New York Stock Exchange)
- Fundamental variables and stock return: evidence from sugar and allied sector of (country name)
- Which is better indicator of stock returns? Sales price, debt equity, book market or firm size
- Mutual fund characteristics and its performance in (country name)
- Debt and equity choice for funds
- Capital investment and stock return
- To study the relationship between price earning ratio and return on investment
- A test of price earning ratio to predict future growths
- Factors affect on the dividend payout ratio
- To study relationship between price earning ratio and growth
- Relationship between market factors and stock returns of sugar and allied industries of (country name)
- To investigate the association between dividend change and company’s earning in chemical industry of (country name)
- Determinants of capital structure in automobile sector of (country name)
- Fund size and indicator of performance measurement for fixed income mutual fund
- Factors that lead to investment in mutual funds
- Predicting stock price via dividend discount model a study over cement sector
- Impact of macro-economic variables on stock sector of (country name)
- Performance evaluation of mutual funds in (country name)
- Comparison between sales price, debt-equity and book market value of equity in analyzing stock returns
- Relationship between cash flow and investment spending in textile industry
- A test of price earning ratio to predict growth
- Effects of free cash flow on investment of firms
- An empirical analysis of long-run performance of IPO’s in (country name)
- Financial leverage and investment policy
- Composition of board of directors and its impact on firm’s performance
- Impact of taxation on firm’s dividend payout/ratio
- Customer satisfaction in Ijara financing
- Impact of acquisitions and mergers on firm performance in FMCG sectors
- Share price volatility explicated by fundamental
- Stock price and economic variables (interest rate, inflation and GDP)
- Determinants of P/E ratio
- Impact of capital structure on profitability
- Impact of interest rate changes on banks’ profitability
- Relationships of stock market returns and rate of inflation
- Dividend policy and stock price volatility
- Determinants of capital structure in case of pharmaceutical sector
- The impact of leverage on stock return
- Fundamentals that predict the mutual fund performance: case of (country name)
- Effect of different characteristics that leads to mergers and acquisitions
- Factors effecting leverage in textile industry of (country name)
- Effects of liquidity crisis on bank’s profitability
- Relationship between free cash flows and investment in cement sector of (country name)
- Impact of working capital on firm’s profitability: study of textile sector of (country name)
- The relationship between corporate strategy and capital structure
- Assessing the profitability determinants of Islamic banking in (country name)
- Turnover as predictor of inflation
- Impact of dividend on investment decision
- Relationship between Assets and Liabilities in balance sheet
- Impact of fiscal policy on economy of (country name)
- Determinants of bond market capitalization in (country name)
- Relationship between CPI and bond price
- Determinants of capital structure in chemical industry in (country name)
- Determinants of financial development
- Impact of privatization on telecom
- Impact of corporate social responsibility on firm’s financial performance
20 comments:
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It is very helpful information! In the event that you think writing a Ph.D. research proposal in finance is an exceptionally hard task then you are not mixed up. You would barely need to spend a couple of hours consistently for a week or something like that. When you know the means of the procedure at that point writing a research proposal will end up plainly straightforward and simple. There is a specific procedure for writing a research proposal. The paper ought to be straightforward and obviously expressed giving the peruser a legitimate thought on what the research is about and what are its destinations. It will likewise expend less energy when the work is researched and written in a composed way.
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The article is interesting. The advancement of your thesis finance topics is your first chance to grandstand your work. You should intend to deliver a presentation which should one half an hour minutes and focuses on your discoveries and suggestions. This is the opportunity to grandstand all that time and exertion you have put into your theory before the defense counsel, which generally incorporates three individuals and an outside commentator. The defense might be an essential advance in the dissertation getting the ready process and albeit open talking may appear to be threatening, the defense furnishes you with the chance to impart your exploration to peers and different individuals from the scholarly group on the loose.
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Thesis Helpers
Find the best tips and advice to improve your writing. Or, have a top expert write your paper.
51 Finance Dissertation Topics You Want to See
Nowadays, everyone is searching for amazing, breathtaking finance dissertation topics. But why? You may be wondering why everyone is searching the original, interesting topics. The answer is simple: because amazing dissertation topics on finance can bring students bonus points. We will discuss why in just a second. The next thing you need to consider is the fact that the topic of your dissertation dictates its difficulty. If you pick the right topic, you will not have as much to work as when you pick a highly complex topic. It makes sense. And another interesting thing about finance dissertation topics is that some of them can be quite fun to write about. Let’s see why topics on finance are important and how you can find good ones. We will then show you a comprehensive list of 51 topics that we think are exceptional.
Why Finance Dissertation Topics Are Important
Most students don’t really understand why finance dissertation topics are important. But put yourself in your professor’s place. You’ve read hundreds of theses up to now. Most of them had similar topics – topics that you are pretty bored of. And then comes a topic with a unique, interesting topic. Something that catches your attention and makes you want to read more. Wouldn’t you award that students some bonus points? You would! And this is why good dissertation topics on finance. You can get bonus points for your work. The topic of your paper can make the difference between a mediocre grade and a top grade.
Tips to Find Excellent Dissertation Topics on Finance
Finding great topics on finance is more difficult than you think. Most students are looking for them online and offline. And the easy topics have been written about thousands of times already. Finding something original, unique is difficult. But there are ways to find good topics:
- Read an extraordinary finance dissertation and look for areas that require further research.
- Go to the library and read several theses to gather ideas.
- Contact a writing agency and ask one of their experienced dissertation writers for some ideas.
- Ask for help in writing forums and blogs. People will give you some very good ideas if you ask nicely.
- Search online for topics, but don’t use them as they are. Change them and make them unique.
- Talk with other students working on their dissertation and ask them what other ideas they had before they selected the topic they are currently working on.
The List of the Best 51 Topics on Finance
While the tips above will help you find some great topics for your finance dissertation, you may want to find something right now. This is why we asked our seasoned dissertation writers to put together a list of the finest dissertation topics in finance for college. These 51 topics have the potential to help you write an amazing thesis, provided you have the will to work hard on your paper:
- Investing in Pakistan’s energy sector – obstacles and opportunities
- Foreign investment and its effects on economic growth in Zambia
- The effect of corporation investments in the economic development of the community
- Do microfinance companies really help even the poorest of the poor?
- The Saudi economic reform and its effects on foreign direct investment
- Comparing financial advancements in Asia and Europe
- The negative impact of microfinance in developing countries
- Did the banks help SMEs grow in the UK in the last 10 years?
- The negative effects of financial regulation on the banking system in the United States
- Risks and benefits associated with advanced mobile banking technology
- China: The effects of population growth on economic growth
- Brazil’s restructuring of the banking sector: a case study
- What challenges do financial companies face in emerging economies?
- Mutual funds and the index are gaining popularity: here is why
- Analyzing the financial crisis of 2007 – Could it have been avoided?
- Pros and cons of private equity investment in the European Union
- What is relationship banking and why is it important?
- Cryptocurrency: Are we really ready to demonetize the world?
- Why banks oppose digital currency so fiercely?
- Innovation in the banking system of the United States in the digital age
- Digital banking problems faced by the elderly
- Best security practices for online banking and online transactions
- Did financial institutions finance terrorism unknowingly?
- Predicting the next catastrophic financial crisis: is 2023 the year?
- Are banking profits ethical? If not, why?
- The impact of a no-deal Brexit on the UK banking system
- Options are used to manage risks in modern banking systems – the pros and cons
- The effects of Brexit on the UK banks’ ability to hire extremely talented specialists
- What is the balanced scorecard and why is it so important to legal firms?
- Modern accounting standards: Do they live up to the regulator’s expectations?
- Comparing the UK and the United States accounting education programs
- Ethics need more emphasis in accounting education in the United Kingdom
- Internal controls: Good or bad for employees of accounting firms?
- Analyzing top 3 CSR issues in modern banking systems
- Corporate Social Responsibility in the banking industry
- Do banks require the current supervision? If not, why?
- Here is how internet banking will look in 10 years
- Analyzing trade blocks (BRIC) and their impact on the banking sector
- The United States PATRIOT Act and its effects on international banking
- How important is credit flow to the agronomic industry?
- Five ways the banking industry has been transformed by IT
- Micro financing and poverty alleviation
- The 5 important traits of a successful microfinance institution: a case study
- The implementation of the IFRS in the UK: Concerns and Reactions
- Investigating the real estate industry in China from a banker’s perspective
- Microfinance is empowering women across the globe
- Is there a link between capital structure and corporate strategy?
- The impact of the retail industry on the UK’s economic growth in 2018
- Which banks are more profitable, domestic or foreign ones?
- How does Groupe Societe Generale manage its cash flow?
- Analyzing the financial statements of VISA and MasterCard
Final Considerations
Even though the final grade depends on the finance dissertation topics you pick, you must be aware that the quality of your research and the quality of your writing make up for most of the grade. It is simply not enough to have the best topic if you can’t write an excellent dissertation. The good news is that you can get some help with both finding the topic and with writing the dissertation online. There are academic writing experts who can assist you. This is not a free service, of course, but by using it you will make sure that you get a top grade. And after all, you will use the services of an academic writer for your finance dissertation just once in a lifetime in most cases.
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Master of business studies thesis | mbs thesis tu, mbs thesis tu | tu management thesis, tu sample thesis | tu thesis.
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iii) Trend Analysis of Total Deposits: In this topic, the trend values of Deposits for 5 fiscal years have been calculated. The table shows trend and actual values of Deposits for 5 years from FY 2059/60 to FY 2063/64. Table No. 4.26 Trend Value of Deposits Deposits (y) = 36305.4+809.5x. Rs. In Million.
Corporate finance research topics broadly cover areas like tools for risk management, trend research in advanced finance, physical and electronic techniques in securities markets, research trends in advance finance, investment analysis, and management of government debt. The following corporate finance topics will surely minimize any risk of ...
Finance Research Topics For MBA. Here is our best list of top-rated MBA financial topics to write about in 2023, which will generate more passion for a debate: Evaluate the effect of the Global crisis to use the line of credit in maintaining cash flow. Discuss options for investment in the shipping industry in the US.
A comprehensive list of research topics and ideas in finance, including corporate finance, fintech, banking and many more. About Us; Services. 1-On-1 Coaching. Topic Ideation; ... If you're just starting out exploring potential research topics for your finance-related dissertation, thesis or research project, you've come to the right place. ...
Thesis Topics (finance specialization) 1. Municipal Financial Management on Bharatpur Municipality 2. Capital Adequacy of Commercial Banks in Nepal 3. Legal & regulatory framework for the projection of investor's rights 4. Corporate Governance in Financial Institution of Nepal 5. Bonus Share Practices in Nepalese Corporate Firms 6.
March 27, 2023. More than 170 final theses were submitted to the examination office of Munich Business School in 2022. Four of them stood out in particular: They are the best theses of the year and were included in the MBS Outstanding Thesis series. In the blog article, we present the topics of the theses in more detail and let the honorees and ...
Assel Altynbek, European Cooperative Banking Group, Advisor: Prof. Stefano Caiazza. Riccardo Angeli, The Covid-19 Effect on Oil Spot and Futures Market and Potential Hedging Strategies, Advisor: Prof. Gianni Nicolini. Nils Anton Ludvig Anner, Explaining Credit Default Swap Spreads with the Equity Volatility and Jump Risks of Individual Firms, Advisor: Prof. Alessandro Ramponi
Determinants of Financial Performance of Commercial Banks in Nepal - MBS Thesis - Free download as PDF File (.pdf), Text File (.txt) or read online for free. Determinants of Financial Performance of Commercial Banks in Nepal - MBS Thesis
This master thesis was submitted to Munich Business School in July 2020r and super-vised by MBS Prof. Dr. Barbara Scheck (Munich Business School) and Clémentine Blazy (France Active). Acknowledgements I would like to thank my primary advisor Professor Dr Barbara Scheck for the support
The main purpose of project work writing is that the students will graduate from MBS in time. 3.1. Format of Thesis The thesis carries full marks of 100. Out of the full marks the thesis work carries 75 marks and the viva-voce examination carries 25 marks. The format of the thesis is in Appendix A-1 to A-4. 3.2.
Thesis topics for MBS students - Free download as Word Doc (.doc / .docx), PDF File (.pdf), Text File (.txt) or read online for free.
MBS THESIS. Office of the Dean Kirtipur 2015. GUIDELINES FOR THESIS WRITING INTRODUCTION. Thesis is an integral part of the MBS studies at Faculty of Management (FOM), Tribhuvan University. The thesis is normally the final piece of work you will undertake for your degree and is equivalent to 3 credit hours.
February 25, 2022. Last year, four further theses produced by our MBS graduates were selected for inclusion in 'MBS Outstanding Thesis', a series of working papers. This blog article introduces the outstanding final papers in 2021. Whether at bachelor's or master's level, a thesis is more than just the final step towards completing a ...
Step 3: Finalise the research methods to prove the significance of the selected topic. Step 4: Gather the required data from relevant sources. Step 5: Conduct the research and analyse the acquired results. Step 6: Work on the outline of your dissertation. Step 7: Make a draft and proofread it.
Theses/Dissertations from 2012. PDF. On The Efficiency of US Equity Markets, Mikael Carl Erik Bergbrant. PDF. Two Essays on the Sell-side Financial Analysts, Xi Liu. PDF. Two essays on Corporate Restructuring, Dung Anh Pham. PDF. Two Essays on Corporate Governance, Yuwei Wang.
The International Journal of Applied Economics and Finance, 3 (2), 35-47. Mendoza, R. & Rivera J. P. R. (2017). The effect of credit risk and capital adequacy on the profitability of rural banks in the Philippines. ... MBS & MBM Thesis format from TU Faculty of Management. Master For Finance And Control 85% (20) 116. TH1940CD - Grade: 15 ...
A Thesis Proposal Prepared By Sanju Singh Maharjan Central Department of Management Roll No: 1231 Registration No.7-2-925-206-2012 Submitted in partial fulfillment of the requirement for the degree of Master of Business Studies (MBS) In the Faculty of Management Tribhuvan University Kirtipur, Kathmandu October 2019
A list of important topics of research on finance is provided to help the students in selecting their research/thesis topics. Impact of privatization on non-performing loans of banks in (country name) Risk assessment and decision making in business and industry. Impact of awareness on the choice of short-term financing (A case study of yarn ...
These 51 topics have the potential to help you write an amazing thesis, provided you have the will to work hard on your paper: Investing in Pakistan's energy sector - obstacles and opportunities. Foreign investment and its effects on economic growth in Zambia. The effect of corporation investments in the economic development of the community.
Dotnepal presents a sample thesis for MBS. The thesis is submitted to Department of Management, Faculty of Management, TU. Download a file from the given link.