Accounting and Finance Thesis Topics

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This page provides a comprehensive list of accounting and finance thesis topics designed to assist students in selecting an impactful subject for their thesis. Whether you are pursuing undergraduate, graduate, or postgraduate studies, the diverse array of topics presented here covers a broad spectrum of specialties within the field of accounting and finance. From traditional areas like audit and taxation to emerging fields like fintech and behavioral finance, this collection aims to cater to a variety of research interests and academic requirements. Each category is meticulously curated to inspire innovative thinking and encourage a deeper exploration of both established and contemporary issues in the discipline.

600 Accounting and Finance Thesis Topics

Accounting and Finance Thesis Topics

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  • Accounting Thesis Topics
  • Audit Thesis Topics
  • Banking Thesis Topics
  • Behavioral Finance Thesis Topics
  • Capital Markets Thesis Topics
  • Corporate Finance Thesis Topics
  • Corporate Governance Thesis Topics
  • Finance Thesis Topics
  • Financial Economics Thesis Topics
  • Financial Management Thesis Topics
  • Fintech Thesis Topics
  • Insurance Thesis Topics
  • International Finance Thesis Topics
  • Investment Thesis Topics
  • Management Accounting Thesis Topics
  • Personal Finance Thesis Topics
  • Public Finance Thesis Topics
  • Quantitative Finance Thesis Topics
  • Risk Management Thesis Topics
  • Taxation Thesis Topics

1. Accounting Thesis Topics

  • The impact of artificial intelligence on financial reporting and compliance.
  • Blockchain technology in accounting: disrupting traditional processes.
  • The role of ethical leadership in promoting sustainable accounting practices.
  • Comparative analysis of global accounting standards post-IFRS adoption.
  • Cultural influences on multinational accounting practices.
  • The future of green accounting in corporate sustainability initiatives.
  • Digital currencies and their accounting implications within multinational corporations.
  • The efficacy of automated accounting systems in small to medium enterprises.
  • Forensic accounting as a tool against cyber financial fraud.
  • Tax strategy and accounting ethics in the digital age.
  • Non-profit accounting challenges in a post-pandemic world.
  • Gig economy impacts on financial reporting and tax obligations.
  • Continuous auditing in real-time financial data environments.
  • Ethical conflicts in accounting decisions: a case study analysis.
  • The integration of blockchain for transparency in financial auditing.
  • Strategic management accounting techniques in agile organizations.
  • Predictive analytics in accounting and its impact on business strategy.
  • Cost management innovations in healthcare accounting.
  • Regulatory impacts on financial disclosures and corporate accounting.
  • Innovative financial planning tools for startup sustainability.
  • The role of environmental, social, and governance (ESG) criteria in financial decision-making.
  • Public sector accountability and accounting reforms.
  • Big data analytics in financial statement analysis.
  • Adapting accounting frameworks for emerging markets.
  • The dynamics of accounting professionalism and ethical standards.
  • Real-time financial reporting: challenges and advantages.
  • Mergers and acquisitions: accounting for corporate restructuring.
  • Artificial intelligence in audit operations: reshaping traditional frameworks.
  • Corporate sustainability reporting: critical analysis of current practices.
  • Tax evasion strategies and their impact on international accounting standards.

2. Audit Thesis Topics

  • The effectiveness of continuous auditing in detecting and preventing fraud.
  • Implementing a risk-based auditing framework in emerging markets.
  • Enhancing corporate governance with robust audit committee functions.
  • The comparative reliability of external audits versus internal controls.
  • The impact of the latest regulatory frameworks on auditing standards.
  • Ensuring auditor independence in a complex corporate milieu.
  • Blockchain applications in enhancing audit trail transparency.
  • Strategies for cybersecurity audits in financial institutions.
  • Cultural impacts on audit practices in global organizations.
  • The future of auditing: integrating real-time data analytics.
  • The relationship between audit quality and investment decisions.
  • Leveraging machine learning for enhanced audit precision.
  • Auditing ethics in the face of financial technology innovations.
  • The role of internal audits in reinforcing cybersecurity measures.
  • Auditing challenges in decentralized platforms using blockchain technology.
  • Comparative study of traditional and modern audit methodologies.
  • The impact of data privacy regulations on audit practices globally.
  • Developing effective audit strategies for cloud-based accounting systems.
  • The role of audits in enhancing business resilience during economic downturns.
  • Fraud detection techniques in an AI-driven audit environment.
  • The effectiveness of environmental auditing in promoting corporate sustainability.
  • Auditing for non-financial information: challenges and methodologies.
  • Enhancing the transparency of public sector audits to improve trust.
  • Implementing forensic auditing techniques in corporate fraud detection.
  • The evolution of auditing standards in response to global financial crises.
  • The role of technology in transforming audit documentation and reporting.
  • Impact of auditor-client relationships on audit quality.
  • Strategies for overcoming challenges in cross-border audit practices.
  • Auditing supply chain operations for financial integrity and sustainability.
  • The future of regulatory audits in a dynamically changing global market.

3. Banking Thesis Topics

  • The future of digital banking post-COVID-19.
  • Analyzing the impact of blockchain technology on international banking transactions.
  • The role of central banks in managing digital currency implementations.
  • Sustainable banking practices: integrating ESG factors into bank operations.
  • The evolution of consumer banking behavior influenced by mobile technologies.
  • Cybersecurity strategies in banking: preventing breaches in a digital age.
  • The effectiveness of monetary policy in digital banking ecosystems.
  • Banking regulations and their impact on global economic stability.
  • Fintech innovations and their integration into traditional banking systems.
  • The impact of banking deserts on rural economic development.
  • Artificial intelligence in banking: reshaping customer service and risk management.
  • The role of ethical banking in promoting financial inclusion.
  • Impact of Brexit on UK banking: challenges and opportunities.
  • Stress testing in banks: approaches and implications for financial stability.
  • Consumer data protection in online banking: challenges and solutions.
  • The influence of microfinancing on developing economies.
  • The impact of interest rate changes on banking profitability.
  • Role of banking in supporting sustainable energy financing.
  • Technological disruptions in banking: a threat or an opportunity?
  • The effect of global banking regulations on emerging market economies.
  • Strategies for managing credit risk in post-pandemic recovery phases.
  • The growing role of Islamic banking in the global finance sector.
  • The impact of non-traditional banking platforms on financial services.
  • Data analytics in banking: enhancing decision-making processes.
  • Cross-border banking challenges in a globalized economy.
  • The future of branchless banking: implications for customer engagement.
  • Banking transparency and its effects on consumer trust.
  • The role of banks in facilitating international trade.
  • Innovations in mortgage banking and their impact on housing markets.
  • The effects of banking consolidation on competition and service delivery.

4. Behavioral Finance Thesis Topics

  • The psychological effects of financial losses on investment behavior.
  • Behavioral biases in financial decision-making: a case study of stock market investors.
  • The impact of social media on investor behavior and market outcomes.
  • Cognitive dissonance and its effect on personal financial planning.
  • The role of emotional intelligence in financial trading success.
  • Exploring the herding behavior in cryptocurrency markets.
  • Behavioral finance strategies to mitigate impulse spending.
  • The influence of cultural factors on investment decisions.
  • Psychological factors driving risk tolerance among millennials.
  • The effect of behavioral finance education on individual investment choices.
  • Overconfidence and trading: an analysis of its impact on stock returns.
  • Decision-making processes under financial stress: a behavioral perspective.
  • The role of behavioral factors in the success of financial advisement.
  • The impact of behavioral insights on retirement savings plans.
  • Anchoring bias in financial forecasting and market predictions.
  • The role of optimism and pessimism in financial markets.
  • Behavioral finance and its role in shaping sustainable investing.
  • Understanding the gap between perceived and actual financial knowledge.
  • Behavioral interventions to improve financial literacy.
  • The influence of personality traits on financial decision-making.
  • Behavioral economics: redesigning financial products for better decision outcomes.
  • The effectiveness of nudge theory in personal finance management.
  • The impact of financial anxiety on decision-making efficiency.
  • The behavioral aspects of financial negotiation.
  • Market sentiment analysis: behavioral finance in algorithmic trading.
  • The psychological impact of financial news on market movements.
  • Behavioral finance insights into crowd-funding behaviors.
  • Ethical considerations in behavioral finance research.
  • The influence of age and life stage on financial risk-taking.
  • Behavioral finance in corporate decision-making: case studies of strategic financial planning.

5. Capital Markets Thesis Topics

  • The future trajectory of global capital markets in the post-pandemic era.
  • Impact of quantitative easing on emerging market economies.
  • The role of technology in enhancing liquidity in capital markets.
  • Analysis of market efficiency in different economic cycles.
  • The effects of political instability on capital market performance.
  • Environmental, Social, and Governance (ESG) criteria and their impact on capital market trends.
  • Cryptocurrency as an emerging asset class in capital markets.
  • The role of sovereign wealth funds in global capital markets.
  • Algorithmic trading and its influence on market dynamics.
  • The impact of international sanctions on capital markets.
  • High-frequency trading: market benefits and systemic risks.
  • The role of capital markets in financing green energy initiatives.
  • Impact of fintech on traditional capital market structures.
  • Corporate bond markets and their responsiveness to economic changes.
  • The influence of central bank policies on capital market stability.
  • Market anomalies and behavioral economics: exploring the deviations from market efficiency.
  • The role of investor sentiment in capital market fluctuations.
  • Crowdfunding as an alternative financing mechanism in capital markets.
  • Regulatory challenges facing capital markets in developing countries.
  • The future of securitization post-global financial crisis.
  • Derivatives markets and their role in risk management.
  • The impact of technology IPOs on market perceptions.
  • Venture capital and its influence on market innovation.
  • Corporate governance and its effect on equity prices.
  • The role of market makers in maintaining market stability.
  • Ethical investing and its traction in the capital market.
  • The impact of demographic shifts on investment trends.
  • The interplay between macroeconomic policies and capital market growth.
  • Leveraging machine learning for capital market predictions.
  • The role of media in shaping public perceptions of capital markets.

6. Corporate Finance Thesis Topics

  • The impact of global economic shifts on corporate financing strategies.
  • Analyzing the role of corporate finance in driving sustainable business practices.
  • The influence of digital transformation on corporate financial management.
  • Risk management in corporate finance during uncertain economic times.
  • The effects of corporate financial restructuring on shareholder value.
  • Financing innovation: How corporations fund new technology investments.
  • The role of private equity in corporate finance.
  • Strategies for managing corporate debt in a fluctuating interest rate environment.
  • Impact of mergers and acquisitions on corporate financial health.
  • ESG (Environmental, Social, and Governance) factors in corporate finance decisions.
  • The future of corporate finance in the era of blockchain and cryptocurrencies.
  • The role of financial analytics in optimizing corporate investment decisions.
  • Corporate finance challenges in emerging markets.
  • Venture capital and its impact on corporate growth.
  • Corporate financial transparency and its effect on investor relations.
  • The role of CFOs in navigating new global tax laws.
  • Financial technology innovations and their implications for corporate finance.
  • The impact of international trade agreements on corporate financing.
  • Corporate finance strategies in the healthcare sector.
  • The influence of shareholder activism on corporate financial policies.
  • The future of corporate banking relationships.
  • Capital allocation decisions in multinational corporations.
  • The role of artificial intelligence in financial forecasting and budgeting.
  • The impact of demographic changes on corporate finance strategies.
  • Managing financial risks associated with climate change.
  • The role of corporate finance in business model innovation.
  • Financing strategies for startups versus established firms.
  • The effect of corporate culture on financial decision-making.
  • Corporate governance and its influence on financial risk management.
  • The evolving landscape of securities regulations and its impact on corporate finance.

7. Corporate Governance Thesis Topics

  • The impact of governance structures on corporate sustainability and responsibility.
  • Board diversity and its effect on corporate decision-making processes.
  • Corporate governance mechanisms to combat corruption and enhance transparency.
  • The role of stakeholder engagement in shaping governance practices.
  • Analyzing the effectiveness of corporate governance codes across different jurisdictions.
  • The influence of technology on corporate governance practices.
  • Governance challenges in family-owned businesses.
  • The impact of corporate governance on firm performance during economic crises.
  • Shareholder rights and their enforcement in emerging market economies.
  • The future of corporate governance in the digital economy.
  • The role of ethics in corporate governance.
  • Corporate governance and risk management: interlinkages and impacts.
  • The effects of regulatory changes on corporate governance standards.
  • ESG integration in corporate governance.
  • The role of internal audits in strengthening corporate governance.
  • Corporate governance in non-profit organizations.
  • The influence of activist investors on corporate governance reforms.
  • The effectiveness of whistleblower policies in corporate governance.
  • Cybersecurity governance in large corporations.
  • Succession planning and governance in large enterprises.
  • The impact of international governance standards on local practices.
  • The role of governance in preventing financial fraud.
  • Corporate governance in the fintech industry.
  • The relationship between corporate governance and corporate social responsibility.
  • The impact of global economic policies on corporate governance.
  • Data privacy and security: Governance challenges in the information era.
  • The role of governance in managing corporate crises.
  • The impact of leadership styles on corporate governance effectiveness.
  • Corporate governance and its role in enhancing business competitiveness.
  • The evolving role of board committees in strategic decision-making.

8. Finance Thesis Topics

  • Financial implications of global climate change initiatives.
  • The future of financial markets in the face of geopolitical uncertainties.
  • The impact of microfinance on poverty alleviation in developing countries.
  • Cryptocurrency: emerging financial technology and its regulatory challenges.
  • The role of financial institutions in fostering economic resilience.
  • Innovations in financial products for an aging global population.
  • The impact of digital wallets on traditional banking systems.
  • Financial literacy and its role in promoting socio-economic equality.
  • The effect of fintech on the global remittance landscape.
  • Risk management strategies in finance post-global financial crisis.
  • The influence of behavioral finance on investment strategies.
  • The evolving role of central banks in digital currency markets.
  • Financing sustainable urban development.
  • The impact of artificial intelligence on personal finance management.
  • Peer-to-peer lending and its effect on traditional credit markets.
  • The role of finance in facilitating international trade and development.
  • The implications of Brexit on European financial markets.
  • Financial derivatives and their role in modern economies.
  • The effects of sanctions on financial transactions and economic stability.
  • The future of investment banking in a technology-driven world.
  • Financial models for predicting economic downturns.
  • The impact of financial education on consumer behavior.
  • Securitization of assets: benefits and risks.
  • The role of financial services in disaster recovery and resilience.
  • Emerging trends in global investment patterns.
  • Financial strategies for managing corporate mergers and acquisitions.
  • The influence of cultural factors on financial systems and practices.
  • The effectiveness of financial sanctions as a geopolitical tool.
  • The future of financial privacy in an interconnected world.
  • The role of finance in promoting renewable energy investments.

9. Financial Economics Thesis Topics

  • The economic impact of quantitative easing in developed versus emerging markets.
  • The implications of negative interest rates for global economies.
  • Economic predictors of financial market behavior in crisis periods.
  • The relationship between government debt and economic growth.
  • Economic consequences of income inequality on national financial stability.
  • The effects of consumer confidence on economic recovery.
  • The role of economic policy in shaping housing market dynamics.
  • The impact of global trade wars on financial economics.
  • The influence of demographic shifts on economic policy and financial markets.
  • Macroeconomic factors influencing cryptocurrency adoption.
  • The role of economic theory in developing financial regulation.
  • The impact of tourism economics on national financial health.
  • Economic strategies for combating hyperinflation.
  • The role of sovereign wealth funds in global economic stability.
  • Economic analyses of environmental and resource economics.
  • The implications of fintech on traditional economic models.
  • Economic impacts of global pandemic responses by governments.
  • The future of labor markets in a digitally transforming economy.
  • Economic considerations in renewable energy finance.
  • The economics of privacy and data security in financial transactions.
  • The role of international economic organizations in financial regulation.
  • Economic effects of technological innovation on traditional industries.
  • The impact of economic sanctions on international relations and finance.
  • The role of consumer spending in economic recovery phases.
  • Economic policies for addressing wealth gaps.
  • The economic impact of climate change on financial sectors.
  • The role of economic research in crafting sustainable development goals.
  • The economics of health and its impact on national economies.
  • Global economic trends and their implications for financial forecasting.
  • The relationship between educational economics and workforce development.

10. Financial Management Thesis Topics

  • The strategic role of financial management in corporate sustainability.
  • Impact of global financial regulations on corporate financial management.
  • Financial management techniques for optimizing supply chain operations.
  • The role of financial management in crisis recovery and resilience.
  • Emerging technologies in financial management systems.
  • The impact of corporate social responsibility on financial management strategies.
  • Financial planning for long-term business growth in volatile markets.
  • The influence of global economic conditions on financial management practices.
  • Financial management challenges in the nonprofit sector.
  • The role of financial management in mergers and acquisitions.
  • The impact of digital currencies on corporate financial management.
  • Financial risk management strategies in an era of global uncertainty.
  • The role of financial management in enhancing operational efficiency.
  • Financial management best practices in the tech industry.
  • The impact of consumer behavior trends on financial management.
  • Financial management in the healthcare sector: Challenges and strategies.
  • The influence of artificial intelligence on financial decision-making processes.
  • Financial management strategies for small and medium-sized enterprises (SMEs).
  • The role of financial management in international expansion.
  • Ethical considerations in financial management practices.
  • Financial management in the energy sector: challenges and innovations.
  • Financial strategies for managing environmental risks.
  • The role of financial management in startup success and sustainability.
  • The impact of financial transparency on corporate governance.
  • Financial management and investor relations: integrating strategic communication.
  • The role of financial management in educational institutions.
  • Managing financial instability in emerging markets.
  • Financial management practices in the gig economy.
  • The role of financial managers in driving business model innovations.
  • Financial management tools for effective capital allocation.

11. Fintech Thesis Topics

  • The impact of blockchain on global payment systems.
  • Regulation challenges for fintech innovations: A cross-country analysis.
  • The role of fintech in democratizing access to financial services.
  • Machine learning and artificial intelligence in predictive financial modeling.
  • The evolution of peer-to-peer lending platforms and their impact on traditional banking.
  • Cryptocurrency adoption: consumer behavior and market dynamics.
  • The future of robo-advisors in personal finance management.
  • The impact of mobile banking on financial inclusion in developing countries.
  • Fintech solutions for microfinance: scalability and sustainability issues.
  • Data privacy and security challenges in fintech applications.
  • The role of fintech in enhancing cybersecurity in financial transactions.
  • The impact of fintech on traditional banking employment.
  • Regulatory technology (RegTech) for compliance management: trends and challenges.
  • Fintech and its role in combating financial crime and money laundering.
  • The influence of fintech on the insurance industry: insurtech innovations.
  • Fintech investments: market trends and future prospects.
  • The role of big data analytics in fintech.
  • Digital wallets and the future of consumer spending behavior.
  • Impact of fintech on wealth management and investment strategies.
  • Challenges and opportunities of implementing distributed ledger technology in financial services.
  • Consumer trust and fintech: building relationships in a digital age.
  • The evolution of payment gateways: fintech at the forefront.
  • Fintech’s impact on cross-border payments and remittances.
  • The role of fintech in the development of smart contracts.
  • The influence of fintech on financial market transparency.
  • Fintech as a driver for financial sector innovation in emerging markets.
  • The impact of artificial intelligence on risk assessment in fintech.
  • Fintech and financial stability: an analysis of systemic risks.
  • The role of fintech in streamlining government and public sector finance.
  • Ethical considerations in fintech: balancing innovation with consumer protection.

12. Insurance Thesis Topics

  • The future of insurance in the age of climate change.
  • The impact of artificial intelligence on underwriting and risk management.
  • Cyber risk insurance: emerging challenges and opportunities.
  • The role of insurance in managing public health crises.
  • Innovations in health insurance: technology-driven approaches to coverage.
  • The evolution of automotive insurance in the era of autonomous vehicles.
  • Insurance fraud detection using big data analytics.
  • Regulatory challenges in the global insurance market.
  • The influence of behavioral economics on insurance product design.
  • The role of reinsurance in stabilizing insurance markets.
  • Insurance and financial inclusion: strategies for reaching underserved communities.
  • The impact of technological advancements on insurance pricing models.
  • The role of insurance in disaster risk reduction and management.
  • Customer data management in the insurance industry: privacy versus personalization.
  • The future of life insurance: adapting to demographic shifts.
  • The integration of IoT devices in home insurance policies.
  • Blockchain applications in the insurance industry.
  • The impact of social media on insurance marketing and customer engagement.
  • Insurance as a tool for sustainable business practices.
  • The role of insurance companies in promoting corporate social responsibility.
  • The challenges of health insurance in a post-pandemic world.
  • Emerging risks and insurance: addressing the needs of the gig economy.
  • The role of insurance in mitigating financial risks associated with sports and entertainment.
  • Ethical challenges in insurance: discrimination in risk assessment.
  • The impact of global political instability on the insurance sector.
  • Insurance products tailored for the elderly: opportunities and challenges.
  • The role of insurance in fostering innovation in the construction industry.
  • Insurance and climate resilience: protecting vulnerable communities.
  • The evolving landscape of travel insurance amid global uncertainties.
  • The role of insurance in the transition to renewable energy sources.

13. International Finance Thesis Topics

  • The impact of currency fluctuations on international trade.
  • Strategies for managing foreign exchange risk in multinational corporations.
  • The effects of global economic sanctions on financial markets.
  • The role of international financial institutions in economic development.
  • Cross-border mergers and acquisitions: challenges and opportunities.
  • The influence of geopolitical tensions on global financial stability.
  • International tax planning and its implications for global investment.
  • The future of international financial regulation in a post-Brexit Europe.
  • The impact of emerging markets on global finance.
  • Foreign direct investment trends and their economic impacts.
  • The role of sovereign wealth funds in international finance.
  • The challenges of implementing international accounting standards.
  • The impact of international remittances on developing economies.
  • The role of digital currencies in reshaping international finance.
  • The effects of protectionist trade policies on global finance.
  • International financial market trends and their implications for investors.
  • The role of expatriate remittances in national economic stability.
  • The impact of international trade agreements on financial services.
  • Global risk management strategies in the finance sector.
  • The role of green finance in promoting sustainable development.
  • The impact of international environmental policies on financial strategies.
  • The future of global banking in the context of rising nationalism.
  • The role of international finance in disaster recovery and resilience.
  • The influence of international finance on poverty reduction strategies.
  • Strategies for financing international healthcare initiatives.
  • The evolving role of Islamic finance in the global market.
  • The impact of fintech on international banking and finance.
  • Challenges in financing international infrastructure projects.
  • The role of international finance in climate change mitigation.
  • Ethical considerations in international finance: fostering global financial integrity.

14. Investment Thesis Topics

  • The role of ESG criteria in investment decision-making.
  • The impact of technological innovation on investment strategies.
  • Market reaction to unexpected global events and its effect on investment portfolios.
  • Behavioral biases in investment: a study of market anomalies.
  • The future of real estate investment in a fluctuating economic landscape.
  • The role of quantitative analysis in portfolio management.
  • The impact of demographic changes on investment trends.
  • Strategies for sustainable and responsible investing.
  • The influence of regulatory changes on investment strategies.
  • The role of artificial intelligence in enhancing investment decisions.
  • Cryptocurrency investment: risks and opportunities.
  • The impact of global trade tensions on investment strategies.
  • Investment strategies for low interest rate environments.
  • The role of crowdfunding in the investment landscape.
  • The impact of social media on investor sentiment and stock prices.
  • The effectiveness of passive versus active investment strategies.
  • The role of venture capital in driving technological innovation.
  • The future of bond markets in a changing economic context.
  • The role of international investments in diversifying portfolios.
  • Impact of inflation expectations on investment decisions.
  • The evolving landscape of commodity investments.
  • Investment opportunities in emerging markets.
  • The impact of fiscal policy changes on investment strategies.
  • The role of hedge funds in the current financial market.
  • The influence of central bank policies on investment strategies.
  • The role of pension funds in the global investment market.
  • Ethical investing: balancing profit and principles.
  • The future of investments in renewable energy.
  • The impact of political stability on foreign investments.
  • The role of technology in asset management and valuation.

15. Management Accounting Thesis Topics

  • The role of management accounting in strategic decision-making.
  • Cost management strategies in the era of global supply chain disruptions.
  • The impact of digital transformation on management accounting practices.
  • The role of management accounting in environmental sustainability.
  • Performance measurement and management in diverse organizational settings.
  • Risk management strategies in management accounting.
  • The evolving role of management accountants in corporate governance.
  • The impact of regulatory changes on management accounting.
  • The role of management accounting in healthcare cost containment.
  • The influence of management accounting on operational efficiency.
  • Management accounting practices in nonprofit organizations.
  • The role of cost analysis in pricing strategies.
  • The impact of technological advancements on budgeting and forecasting.
  • The effectiveness of management accounting tools in project management.
  • The role of management accounting in mergers and acquisitions.
  • The impact of cultural differences on management accounting systems.
  • The role of management accounting in enhancing business resilience.
  • The influence of management accounting on business model innovation.
  • Management accounting in the digital economy: challenges and opportunities.
  • Strategic cost management for competitive advantage.
  • The role of management accounting in supply chain optimization.
  • The future of management accounting in the context of AI and automation.
  • The impact of financial technology on management accounting.
  • The role of management accounting in crisis management and recovery.
  • Performance metrics and their impact on organizational success.
  • The role of management accounting in supporting sustainable practices.
  • The impact of global economic conditions on management accounting.
  • The role of predictive analytics in management accounting.
  • The effectiveness of internal controls in management accounting.
  • The role of management accounting in international business expansion.

16. Personal Finance Thesis Topics

  • The impact of financial technology on personal savings strategies.
  • Behavioral insights into personal debt management.
  • The role of personal finance education in shaping financial literacy.
  • The influence of economic downturns on personal investment choices.
  • Retirement planning: trends and strategies in the current economic climate.
  • The effectiveness of digital tools in personal budgeting and financial planning.
  • Analyzing the gender gap in personal finance management.
  • The impact of cultural factors on personal saving and spending habits.
  • Personal finance challenges for the gig economy workers.
  • The role of personal finance in achieving long-term financial security.
  • Cryptocurrency as a personal investment: risks and rewards.
  • The impact of peer-to-peer lending platforms on personal finance.
  • The influence of social media on personal financial decisions.
  • Ethical considerations in personal financial advice.
  • The evolution of consumer credit markets and its impact on personal finance.
  • Strategies for managing personal financial risk.
  • The role of emergency funds in personal financial planning.
  • The impact of student loans on financial planning for millennials.
  • Personal finance strategies for different life stages.
  • The effect of inflation on personal savings and investment strategies.
  • The future of personal finance in the age of AI and automation.
  • The role of insurance in personal financial planning.
  • The impact of tax laws changes on personal finance strategies.
  • The psychology of spending: understanding consumer behavior.
  • Personal financial planning for expatriates: strategies and challenges.
  • The role of estate planning in personal finance.
  • Impact of healthcare costs on personal financial stability.
  • The role of financial advisors in the era of self-directed financial planning.
  • Financial planning for sustainable living: integrating environmental considerations.
  • The challenges and opportunities in personal wealth building.

17. Public Finance Thesis Topics

  • The role of public finance in addressing income inequality.
  • Fiscal policies for sustainable economic growth.
  • The impact of taxation on small businesses.
  • Public finance management in times of economic crisis.
  • The role of government spending in stimulating economic development.
  • Strategies for managing national debt.
  • The effectiveness of public welfare programs.
  • The challenges of healthcare financing in public sectors.
  • The impact of international aid on public finance.
  • Public finance strategies for environmental conservation.
  • The role of public finance in urban development.
  • Tax evasion and its implications for public finance.
  • The impact of public finance on education quality and access.
  • Financing public infrastructure: challenges and solutions.
  • The role of public finance in disaster management.
  • The effectiveness of fiscal decentralization.
  • Public finance reforms and their impact on service delivery.
  • The challenges of pension financing in the public sector.
  • The impact of political stability on public financial management.
  • Public-private partnerships: financial implications and models.
  • The role of transparency in public finance.
  • The impact of corruption on public financial management.
  • Financing renewable energy projects through public funds.
  • The role of public finance in health care reform.
  • The effectiveness of government subsidies in promoting economic sectors.
  • The challenges of financing sustainable transportation systems.
  • The impact of demographic changes on public finance.
  • The role of digital technologies in improving public finance management.
  • The global trends in public finance and their implications for domestic policy.
  • The impact of climate change on public financial strategies.

18. Quantitative Finance Thesis Topics

  • The application of machine learning algorithms in predicting stock market trends.
  • The role of quantitative methods in risk management.
  • Developing advanced models for credit risk assessment.
  • The impact of high-frequency trading on market stability.
  • The use of big data analytics in portfolio management.
  • Quantitative approaches to asset pricing in volatile markets.
  • The effectiveness of quantitative strategies in hedge funds.
  • The role of algorithmic trading in enhancing market efficiency.
  • Quantitative models for predicting bond market movements.
  • The impact of quantitative finance on regulatory compliance.
  • The application of blockchain technology in quantitative finance.
  • The challenges of quantitative finance in cryptocurrency markets.
  • The integration of environmental, social, and governance (ESG) factors in quantitative analysis.
  • The role of quantitative finance in private equity valuations.
  • Developing quantitative approaches for derivatives pricing.
  • The impact of quantitative finance techniques on financial advising.
  • Quantitative methods for assessing market liquidity.
  • The role of sentiment analysis in quantitative finance.
  • Quantitative trading strategies for commodities markets.
  • The application of game theory in financial strategy.
  • Quantitative finance and its role in insurance underwriting.
  • The impact of geopolitical events on quantitative financial models.
  • The use of quantitative finance in forecasting economic downturns.
  • Machine learning models for real estate investment analysis.
  • Quantitative finance techniques in sports betting markets.
  • The impact of artificial intelligence on financial market predictions.
  • Quantitative methods for managing currency exchange risks.
  • The role of quantitative finance in managing pension fund assets.
  • The effectiveness of quantitative models in emerging financial markets.
  • The future of quantitative finance in a globally interconnected economy.

19. Risk Management Thesis Topics

  • The role of risk management in enhancing corporate resilience.
  • Cybersecurity risks in financial institutions: management strategies.
  • The impact of climate change on risk management in insurance.
  • Risk management techniques in the fintech sector.
  • The effectiveness of enterprise risk management (ERM) frameworks.
  • Risk management in global supply chains.
  • The role of risk management in sustainable business practices.
  • Financial risks associated with political instability.
  • The challenges of operational risk management in complex organizations.
  • Risk management strategies for digital transformation projects.
  • The impact of regulatory changes on risk management practices.
  • Risk assessment techniques for investment in volatile markets.
  • The role of data analytics in risk identification and mitigation.
  • Risk management considerations in mergers and acquisitions.
  • The impact of reputation risk on corporate strategy.
  • Risk management in the healthcare industry.
  • The challenges of risk management in the energy sector.
  • The role of risk management in nonprofit organizations.
  • Implementing risk management in public sector entities.
  • The future of risk management in the context of AI advancements.
  • Credit risk management in banking post-global financial crisis.
  • Risk management strategies for emerging technologies.
  • The role of psychological factors in risk management decision-making.
  • Legal risks in international business operations.
  • The impact of cultural differences on risk management strategies.
  • Environmental risk management and corporate responsibility.
  • Risk management techniques for protecting intellectual property.
  • The role of insurance in comprehensive risk management.
  • The challenges of liquidity risk management in financial markets.
  • The future of risk management education and training.

20. Taxation Thesis Topics

  • The impact of digital economy on global taxation frameworks.
  • Tax policy as a tool for economic recovery post-pandemic.
  • The effectiveness of tax incentives in promoting renewable energy investments.
  • The role of taxation in addressing wealth inequality.
  • International tax competition and its implications for global economic stability.
  • The challenges of implementing value-added tax (VAT) in developing countries.
  • Tax evasion and its impact on national economies.
  • The role of tax policy in encouraging corporate social responsibility.
  • The impact of tax reforms on small and medium-sized enterprises.
  • Comparative analysis of progressive versus flat tax systems.
  • The effectiveness of digital services taxes in the global economy.
  • The role of taxation in sustainable development goals.
  • Taxation strategies for digital currencies and blockchain transactions.
  • The impact of tax policies on consumer behavior.
  • The role of taxation in healthcare financing.
  • Tax compliance challenges in the gig economy.
  • The implications of tax havens on international relations.
  • The role of automated systems in improving tax collection efficiency.
  • Taxation and its impact on foreign direct investment flows.
  • The future of estate taxes and their role in wealth distribution.
  • Taxation of e-commerce transactions.
  • The impact of international tax treaties on cross-border investments.
  • The role of taxation in the informal economy.
  • The challenges of carbon taxes in combating climate change.
  • The role of tax audits in enhancing fiscal transparency.
  • The impact of tax policies on retirement planning.
  • Taxation challenges in the pharmaceutical industry.
  • The role of taxation in funding public education.
  • The impact of taxation on agricultural development.
  • The future of consumption taxes in an increasingly digital world.

This comprehensive list of accounting and finance thesis topics has been curated to reflect the latest challenges and emerging trends within the field. Whether you are exploring traditional areas like taxation and corporate finance or delving into the evolving realms of fintech and international finance, these topics are designed to provide a robust foundation for your thesis research. Each category is intended to spark innovative thinking and encourage a deep exploration of issues that are pivotal to the current and future landscape of accounting and finance. By selecting a topic from this extensive collection, students can ensure their research is relevant, timely, and contributes meaningfully to their academic and professional growth in the field of accounting and finance.

The Range of Accounting and Finance Thesis Topics

Accounting and finance stand as critical pillars in the modern economic and corporate world, guiding everything from daily business operations to global financial strategies. The study of these disciplines is not just about learning to balance books or manage corporate assets; it’s about understanding the forces that drive economic activities and shape financial landscapes. Research in accounting and finance is paramount as it provides the empirical evidence needed to develop robust financial models, innovative management practices, and effective regulatory policies. The relevance of accounting and finance thesis topics is thus foundational to nurturing informed, adept professionals capable of navigating the complexities of financial markets and addressing the challenges of economic flux.

Current Issues in Accounting and Finance

  • Globalization and Regulatory Complexity : As businesses operate across borders, the complexity of regulatory compliance increases. Researchers are tasked with exploring the implications of global regulatory frameworks and their synchronization, or lack thereof, which affects multinational corporations and global financial stability.
  • Technological Disruptions : The rapid integration of technologies such as blockchain, AI, and machine learning in financial operations presents both opportunities and challenges. Studies focus on their impacts on financial privacy, security, and new types of financial crime, as well as their potential to improve efficiency and transparency.
  • Ethical and Sustainability Challenges : With rising concerns over corporate responsibility and sustainable development, research is increasingly focusing on how financial practices can be aligned with ethical standards and sustainability goals. This includes studies on green financing, ethical investing, and the financial implications of corporate sustainability initiatives.

Recent Trends in Accounting and Finance

  • Automation and Data Analytics : The adoption of advanced data analytics and automation tools is transforming traditional accounting tasks. Research topics explore the impact of these technologies on workflow efficiencies, data accuracy, and strategic decision-making within financial departments.
  • Sustainable Finance : As the demand for environmentally and socially responsible investment options grows, there is an increasing focus on how financial markets can support ESG principles. Researchers examine the integration of sustainability into financial analysis and decision-making processes.
  • Fintech Innovations : The emergence of fintech and its components like mobile payments, peer-to-peer lending, and cryptocurrencies are reshaping the financial services industry. Theses may focus on the regulatory challenges, market dynamics, and consumer behavior influenced by these innovations.

Future Directions in Accounting and Finance

  • Digital Transformation : Future research will likely delve deeper into the consequences and potentials of continued digital transformation in finance, such as the widespread adoption of internet of things (IoT) technologies and further advancements in AI for automated trading and personal finance management.
  • Predictive Finance and AI : With AI’s increasing capability to predict financial outcomes, future topics could include the development of AI-driven models for credit scoring, risk management, and investment strategies, emphasizing their accuracy, ethical considerations, and regulatory needs.
  • Sustainability and Finance : An emerging research frontier is the intersection of finance with global sustainability challenges. Potential topics include the financing of climate change initiatives, the role of financial institutions in promoting sustainable practices, and the creation of innovative financial products that support sustainable economic growth.

The breadth of accounting and finance thesis topics is indicative of the field’s extensive scope and its significant impact on societal and economic frameworks. Continued research is essential for advancing theoretical foundations and developing practical applications that address both current challenges and future opportunities. This ongoing academic inquiry is crucial for fostering a financial landscape that is not only robust and dynamic but also ethical and sustainable, ensuring that the field of accounting and finance remains at the forefront of economic innovation and societal advancement.

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finance thesis topics 2020

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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

Research topic idea mega list

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

Research Topic Kickstarter - Need Help Finding A Research Topic?

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

Free Webinar: How To Find A Dissertation Research Topic

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

Research topic evaluator

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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Topic Kickstarter: Research topics in education

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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Digital Commons @ USF > Muma College of Business > Finance > Theses and Dissertations

Finance Theses and Dissertations

Theses/dissertations from 2023 2023.

Do Industries' Political Profiles Affect Their Portfolio Return Performance? , Shaddy S. Douidar

Do Firms Overreact to the Enactment of Corporate Laws: Evidence from Anti-Price Gouging Laws , Mario Marshall

Theses/Dissertations from 2021 2021

Essays on CEO Personal Characteristics and Corporate Outcomes: Athlete CEOs and Foreign CEOs , Kirill Pervun

Theses/Dissertations from 2020 2020

Predictors of Economic Outlook in Stability Operations , Juan Carlos Garcia

The Warren Buffett Project: A Qualitative Study on Warren Buffett , Christian G. Koch

Theses/Dissertations from 2019 2019

Closing America’s Retirement Savings Gap: Nudging Small Business Owners to Adopt Workplace Retirement Plans , Peter W. Kirtland

Theses/Dissertations from 2018 2018

Growth Options and Corporate Goodness , Linh Thompson

Theses/Dissertations from 2017 2017

Essays on the Tax Policy and Insider Trading , Han Shi

Theses/Dissertations from 2016 2016

Two Essays on Lottery-type Stocks , Yun Meng

Theses/Dissertations from 2015 2015

Two Essays on IPOs and Asset Prices , Gaole Chen

Essays on the impact of CEO gender on corporate policies and outcomes , Nilesh Sah

Theses/Dissertations from 2014 2014

Essays on Corporate Finance , Hari Prasad Adhikari

Two Essays on Individuals, Information, and Asset Prices , Joseph Mohr

Two Essays on Investment , Bin Wang

Two Essays on Corporate Finance , Qiancheng Zheng

Theses/Dissertations from 2013 2013

Two Essays on Mergers and Acquisitions , Dongnyoung Kim

Two Essays on Politics and Finance , Incheol Kim

Two Essays on Stock Repurchases-The Post Repurchase Announcement Drift: An Anomaly in Disguise? and Intra Industry Effects of IPOs on Stock Repurchase Decisions , Thanh Thiet Nguyen

Two Essays on Investor Distraction , Erdem Ucar

Two Essays on Politics in Corporate Finance , Xiaojing Yuan

Theses/Dissertations from 2012 2012

On The Efficiency of US Equity Markets , Mikael Carl Erik Bergbrant

Two Essays on the Sell-side Financial Analysts , Xi Liu

Two essays on Corporate Restructuring , Dung Anh Pham

Two Essays on Corporate Governance , Yuwei Wang

Theses/Dissertations from 2011 2011

Capital Structure, Credit Ratings, and Sarbanes-Oxley , Kelly E. Carter

Institutional Investors and Corporate Financial Policies , Ricky William Scott

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200 Finance Dissertation Topics: Quick Ideas For Students

finance dissertation topics

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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50+ Best Finance Dissertation Topics For Research Students

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50+ Best Finance Dissertation Topics For Research Students

Finance Dissertation Made Easier!

Embarking on your dissertation adventure? Look no further! Choosing the right finance dissertation topics is like laying the foundation for your research journey in finance, and we're here to light up your path. In this article, we will be diving deep into why dissertation topics in finance matter so much. We've got some golden writing tips to share with you! We're also unveiling the secret recipe for structuring a stellar finance dissertation and exploring intriguing topics across various finance sub-fields. Our buffet of finance dissertation topics will surely set your research spirit on fire!

What is a Finance Dissertation?

Finance dissertations are academic papers that delve into specific finance topics chosen by students, covering areas such as stock markets, banking, risk management, and healthcare finance. These dissertations require extensive research to create a compelling report and contribute to the student's confidence and satisfaction in the field of finance. Now, let's understand why these dissertations are so important and why choosing the right finance dissertation topics is crucial!

Why are Finance Dissertation Topics Important?

Choosing the dissertation topics for finance students is essential as it will influence the course of your research. It determines the direction and scope of your study. You must make sure that the finance dissertation topics you choose are relevant to your field of interest. Here are a few reasons why finance thesis topics are important:

1. Relevance

Opting for relevant finance thesis topics ensures that your research contributes to the existing body of knowledge and addresses contemporary issues in finance. Choosing a dissertation topic relevant to the industry can make a meaningful impact and advance understanding in your chosen area.

2. Personal Interest

Selecting finance dissertation topics that align with your interests and career goals is vital. When genuinely passionate about your research area, you are more likely to stay motivated during the dissertation process. Your interest will drive you to explore the subject thoroughly and produce high-quality work.

3. Future Opportunities

Well-chosen finance dissertation topics can open doors to various future opportunities. They can enhance your employability by showcasing your expertise in a specific finance area. They may also lead to potential research collaborations and invitations to conferences in your field of interest.

4. Academic Supervision

Your choice of topics for dissertation in finance also influences the availability of academic supervisors with expertise in your chosen area. Selecting a well-defined research area increases the likelihood of finding a supervisor to guide you effectively throughout the dissertation. Their knowledge and guidance will greatly contribute to the success of your research.

Writing Tips for Finance Dissertation

Writing a dissertation requires a lot of planning, formatting, and structuring. It starts with deciding on topics for a dissertation in finance, conducting tons of research, deciding on methods, and so on. Below are some tips to assist you along the way, and here is a blog on the 10 tips on writing a dissertation that can give you more information, should you need it!

1. Select a Manageable Topic

It is important to choose finance research topics within the given timeframe and resources. Select a research area that interests you and aligns with your career goals. This will help you stay inspired throughout the dissertation process.

2. Conduct a Thorough Literature Review

A comprehensive literature review forms the backbone of your research. After choosing the finance dissertation topics, dive deep into academic papers, books, and industry reports. Gain a solid understanding of your chosen area to identify research gaps and establish the significance of your study.

3. Define Clear Research Objectives

Clearly define your dissertation's research questions and objectives. It will provide a clear direction for your research and guide your data collection, analysis, and overall structure. Ensure your objectives are specific, measurable, achievable, relevant, and time-bound (SMART).

4. Collect and Analyse Data

Depending on your research methodology and your finance dissertation topics, collect and analyse relevant data to support your findings. It may involve conducting surveys, interviews, experiments, and analysing existing datasets. Choose appropriate statistical techniques and qualitative methods to derive meaningful insights from your data.

5. Structure and Organization

Pay attention to the structure and organisation of your dissertation. Follow a logical progression of chapters and sections, ensuring that each chapter contributes to the overall coherence of your study. Use headings, subheadings, and clear signposts to guide the reader through your work.

6. Proofread and Edit

Once you have completed the writing process, take the time to proofread and edit your dissertation carefully. Check for clarity, coherence, and proper grammar. Ensure that your arguments are well-supported, and eliminate any inconsistencies or repetitions. Pay attention to formatting, citation styles, and consistency in referencing throughout your dissertation.

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Finance Dissertation Topics

Now that you know what a finance dissertation is and why they are important, it's time to have a look at some of the best finance dissertation topics. For your convenience, we have segregated these topics into categories, including cryptocurrency, risk management, internet banking, and so many more. So, let's dive right in and explore the best finance dissertation topics:

Dissertation topics in Finance related to Cryptocurrency

1. The Impact of Regulatory Frameworks on the Volatility and Liquidity of Cryptocurrencies.

2. Exploring the Factors Influencing Cryptocurrency Adoption: A Comparative Study.

3. Assessing the Efficiency and Market Integration of Cryptocurrency Exchanges.

4. An Analysis of the Relationship between Cryptocurrency Prices and Macroeconomic Factors.

5. The Role of Initial Coin Offerings (ICOs) in Financing Startups: Opportunities and Challenges.

Dissertation topics in Finance related to Risk Management

1. The Effectiveness of Different Risk Management Strategies in Mitigating Financial Risks in Banking Institutions.

2. The Role of Derivatives in Hedging Financial Risks: A Comparative Study.

3. Analysing the Impact of Risk Management Practices on Firm Performance: A Case Study of a Specific Industry.

4. The Use of Stress Testing in Evaluating Systemic Risk: Lessons from the Global Financial Crisis.

5. Assessing the Relationship between Corporate Governance and Risk Management in Financial Institutions.

Dissertation topics in Finance related to Internet Banking

1. Customer Adoption of Internet Banking: An Empirical Study on Factors Influencing Usage.

Enhancing Security in Internet Banking: Exploring Biometric Authentication Technologies.

2. The Impact of Mobile Banking Applications on Customer Engagement and Satisfaction.

3. Evaluating the Efficiency and Effectiveness of Internet Banking Services in Emerging Markets.

4. The Role of Social Media in Shaping Customer Perception and Adoption of Internet Banking.

5. Fraud and Identity Theft are Accomplished via Internet Banking.

Dissertation topics in Finance related to Microfinance

1. The Impact of Microfinance on Poverty Alleviation: A Comparative Study of Different Models.

2. Exploring the Role of Microfinance in Empowering Women Entrepreneurs.

3. Assessing the Financial Sustainability of Microfinance Institutions in Developing Countries.

4. The Effectiveness of Microfinance in Promoting Rural Development: Evidence from a Specific Region.

5. Analysing the Relationship between Microfinance and Entrepreneurial Success: A Longitudinal Study.

Dissertation topics in Finance related to Retail and Commercial Banking

1. The Impact of Digital Transformation on Retail and Commercial Banking: A Case Study of a Specific Bank.

2. Customer Satisfaction and Loyalty in Retail Banking: An Analysis of Service Quality Dimensions.

3. Analysing the Relationship between Bank Branch Expansion and Financial Performance.

4. The Role of Fintech Startups in Disrupting Retail and Commercial Banking: Opportunities and Challenges.

5. Assessing the Impact of Mergers and Acquisitions on the Performance of Retail and Commercial Banks.

Dissertation topics in Finance related to Alternative Investment

1. The Performance and Risk Characteristics of Hedge Funds: A Comparative Analysis.

2. Exploring the Role of Private Equity in Financing and Growing Small and Medium-Sized Enterprises.

3. Analysing the Relationship between Real Estate Investments and Portfolio Diversification.

4. The Potential of Impact Investing: Evaluating the Social and Financial Returns.

5. Assessing the Risk-Return Tradeoff in Cryptocurrency Investments: A Comparative Study.

Dissertation topics in Finance related to International Affairs

1. The Impact of Exchange Rate Volatility on International Trade: A Case Study of a Specific Industry.

2. Analysing the Effectiveness of Capital Controls in Managing Financial Crises: Comparative Study of Different Countries.

3. The Role of International Financial Institutions in Promoting Economic Development in Developing Countries.

4. Evaluating the Implications of Trade Wars on Global Financial Markets.

5. Assessing the Role of Central Banks in Managing Financial Stability in a Globalised Economy.

Dissertation topics in Finance related to Sustainable Finance

1. The Impact of Sustainable Investing on Financial Performance.

2. The Role of Green Bonds in Financing Climate Change Mitigation and Adaptation.

3. The Development of Carbon Markets.

4. The Use of Environmental, Social, and Governance (ESG) Factors in Investment Decision-Making.

5. The Challenges and Opportunities of Sustainable Finance in Emerging Markets.

Dissertation topics in Finance related to Investment Banking

1. The Valuation of Distressed Assets.

2. The Pricing of Derivatives.

3. The Risk Management of Financial Institutions.

4. The Regulation of Investment Banks.

5. The Impact of Technology on the Investment Banking Industry.

Dissertation topics in Finance related to Actuarial Science

1. The Development of New Actuarial Models for Pricing Insurance Products.

2. The Use of Big Data in Actuarial Analysis.

3. The Impact of Climate Change on Insurance Risk.

4. The Design of Pension Plans That Are Sustainable in the Long Term.

5. The Use of Actuarial Science to Manage Risk in Other Industries, Such as Healthcare and Finance.

Dissertation topics in Finance related to Corporate Finance

1. Study the Relations Between Corporate Governance Structures and Financial Performance

2. Testing the Effects of Capital Structure on Firm Performance Across Different Industries

3. Effectiveness of Financial Management Practices in Emerging Markets

4. Integrating Sustainability and CSR Initiatives Impacts a Corporation’s Financial Performance and Enhances its Brand Reputation.

5. A Comparative Study of the Financing Strategies Employed in Mergers and Acquisitions.

Tips To Find Good Finance Dissertation Topics 

Embarking on a dissertation report on finance topics journey requires careful consideration of various factors. Your choice of topic in finance research topics is pivotal, as it sets the stage for the entire research process. We suggest the following tips that can help you pick the perfect dissertation topic:

1. Identify your interests and strengths 

2. Check for current relevance

3. Feedback from your superiors

4. Finalise the research methods

5. Gather the data

6. Work on the outline of your dissertation

7. Make a draft and proofread it

Lastly, we have discussed the importance of finance thesis topics and provided valuable writing tips and tips for finding the right topic. We have also presented a list of thesis topics for finance students within various subfields. With this, we hope you have great ideas for finance dissertations. Good luck with your finance research journey!

Frequently Asked Questions

How do i research for my dissertation project topics in finance, what is the best topic for dissertation topics for mba finance, what is the hardest finance topic, how do i choose the right topic for my dissertation in finance, where can i find a dissertation topic in finance.

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Finance & Accounting Dissertation Topics

Published by Jamie Walker at January 10th, 2023 , Revised On May 17, 2024

When choosing a topic for your finance and accounting dissertation, you might not be confident of which area to explore. You might be caught up in various topics, such as investment finance, MNCs’ financial practices, ethics in finance, and more.

Your finance dissertation topic should enable you to learn a new subject and intrigue your academic supervisor. Our list of finance and accounting dissertation topics is a perfect combination of both. They provide you with an opportunity to learn and secure good grades.

Our team of PhD qualified writers have spent hours to come up with these topics, so you can trust to use these topics for drafting your dissertation.

Review the step-by-step guide on how to write your own dissertation here.

You may also want to start your dissertation by requesting  a brief research proposal  from our writers on any of these topics, which includes an  introduction  to the topic,  research question , aim and objectives ,  literature review along with a proposed  methodology  of research to be conducted.  Let us know  if you need any help in getting started.

Check our  dissertation examples to get an idea of  how to structure your dissertation .

Review the full list of dissertation topics here.

Trending Dissertation Topics For Finance & Accounting

  • The impact of sustainable investing on financial performance. Is there a trade-off between environmental, social, and governance (ESG) factors and traditional financial metrics?
  • How can green bonds be used to fund renewable energy projects and other climate-friendly initiatives?
  • The role of carbon markets in reducing greenhouse gas emissions.
  • The challenges and opportunities of sustainable finance in emerging markets. 
  • The adoption of blockchain technology in the financial sector. 
  • The increasing use of artificial intelligence and machine learning in finance. 
  • How can open banking create a more competitive and innovative financial services industry?
  • The impact of FinTech on financial inclusion. 
  • The growing importance of data privacy and security in finance.
  • The impact of the pandemic on insurers and other financial institutions.
  • The rise of central bank digital currencies (CBDCs).
  • The future of work in the financial sector. How will automation and other technological changes impact jobs in finance?
  • The increasing importance of cybersecurity in finance. 
  • The role of financial regulation in promoting financial stability.
  • How has the pandemic affected the way companies report their financial results?
  • The rise of non-fungible tokens (NFTs) and their accounting implications. 
  • The increasing use of fair value accounting. 
  • The convergence of international accounting standards. 
  • The role of accounting in corporate social responsibility (CSR). 
  • The use of activity-based costing (ABC) in a digital age. 
  • The role of budgeting in a changing business world. 
  • The use of performance management systems to motivate employees.
  • The impact of digital transformation on management accounting. 
  • The role of data analytics in management accounting. 

Finance and Accounting Research Topics For Research

Topic 1: an investigation of the reasons for the merger's failure outcomes and acquisition of islamic banks in gulf countries..

Research Aim: It is also evident from various studies that most Islamic banks in the Gulf countries, which put their efforts into Mergers and acquisitions with other known and well-established banking sectors, encountered some severe failures. Therefore, this study aims to develop an understanding of failure outcomes for Islamic banks while going towards Merger decisions and acquisitions with other well-known banks in the Gulf countries.

Topic 2: How does the Assets Management Fee Affect the Growth of Finance?

Research Aim: The proposed study aims to scrutinise the impact of asset management fees on the growth of finance. It will study different asset management companies and the role of the assets management fee in their financial expansion or contraction over time. The proposed study will not analyse the impact of assets management fees on the growth of finance, but the model used by the study will try to predict the optimal fee that can help finance to grow. The model will test it for different industries to generalise an optimal fee level.

Topic 3: What is the Impact of Assets Management on the Financial Performance of a Firm? A Panel Data Investigation

Research Aim: The proposed study aims to investigate the impact of asset management on a firm’s financial performance. This study will use a holistic analysis and the panel data model to find the influence of different aspects (variables) of asset management on a firm’s financial performance. After analyzing the impact of these aspects on financial performance, it will recommend ways to maximize financial performance.

Topic 4: Assessing the relationship between Stock Performance and CEO Qualities.

Research Aim: This study examines the relationship between CEO qualities and stock performance. We will analyse this study differently using different approaches and models for CEO qualities. This study will focus on traits related to CEOs. This study will provide useful information to assess the performance of stocks considering CEO succession.

Topic 5: Investigating the impact of 'Green Drive' or Sustainability on Taxation policies- A case study of UK.

Research Aim: The current study will investigate the role of green drive and sustainability on taxation policies in the UK. Furthermore, it will also focus on how the governments have employed green budgeting and tax policies to build massive tax cuts that will assist a green recovery, as well as the interrelated role of taxation policies in decarbonising the environment. This study will examine the relationship between environmental taxes, sustainability, technologies and policies.

COVID-19 Finance and Accounting Research Topics

Topic 1: health finance during covid-19.

Research Aim: The World Health Organisation has provided guidelines to countries on taking necessary actions and adjustments during COVID-19. This study will address the financial decisions and expenditures made during COVID-19 to combat the health crisis.

Topic 2: The IFC (International Finance Corporation) and COVID-19

Research Aim: This study will review the role of the International Finance Corporation during the COVID-19

Topic 3: World Bank and Coronavirus

Research Aim: This study will address the response and role of the World Bank during the Coronavirus pandemic.

Topic 4: Global Accounting considerations related to Coronavirus pandemic

Research Aim: This study will address the global Accounting considerations made during the Coronavirus pandemic

Topic 5: International Accounting Standard Board and COVID-19

Research Aim: This study will address the response and role of the International Accounting Standard Board during the COVID-19 pandemic.

More Finance and Accounting Dissertation Topics

Topic 1: auditor's job with the clients and third-party.

Research Aim: This study will examine the effect of employee engagement on the Nigeria Communications Commission results. The research objectives are to analyse the ties between preparation and increasing abilities for the Nigerian Communications Commission staff, examine the relationships for the Nigerian Communications Commission staff between financial benefits and working activities, and assess the impact of appreciation on job performance. The study style was used as a standard.

Topic 2: Relationship between the Earning Management and Discretionary Accruals

Research Aim: This research aims to identify a relationship between Earning Management and Discretionary Accruals

Topic 3: Interaction of Corporate Disclosure and Governance

Research Aim: This research aims to focus on the interaction of Corporate Disclosure and Governance

Topic 4: Expected Returns in Finance and Accounting

Research Aim: This research aims to measure the interest rates expected returns in Finance and Accounting

Topic 5: Impacts of Digital Currency on Finance and Accounting

Research Aim: This research aims to evaluate the impacts of digital currency on Finance and Accounting

Topic 6: The intensity of interest rates in Finance and Accounting

Research Aim: This research aims to measure the in Finance and Accounting

Topic 7: How public and market information impacts the fluctuation of share price index: Case study FTSE 250

Research Aim: Public market information is of great significance as it tends to impact prices and shape market trends. This research will be carried out for the purpose of specifically undertaking the role of public and market information on the fluctuation of the share price of companies in FTSE 250 which consists of 101 to 350 top market capitalisation companies.

Topic 8: Analysing the impact of corporate credit rating on banks and financial institution’s lending capacity

Research Aim: Credit ratings impact the reputation of financial institutions. They help in evaluating the credit risk of the prospective debtor. This research will be conducted for the purpose of significantly analysing the impact of a credit rating on the lending capacities of banks and financial institutions.

Topic 9: A critical analysis of the emergence and development of cryptocurrencies and how they impact the current economic activities

Research Aim: Cryptocurrencies have been in the market for quite some time. This research will shed some light on its emergence and evolution to understand the changes and functionality over the years. This research will also analyse the impact of cryptocurrency on current economic activities in the West.

Topic 10: Analysing the factors affecting FDI in China and how it impacts the economic development of the country

Research Aim: China’s large population size, fast-growing economy, membership of the World Trade Organization, government incentives, low labour cost, and attractive return are some of the major determinants of FDI in China. This research will study these factors in the context of the country’s economic development.

Topic 11: How IAS has helped organisations in presenting quality reports.

Research Aim: In the present times, financial reports are of great significance to the stakeholders. Hence, it is important for organisations formulating and publishing reports to follow a standard approach in order to ensure quality and efficiency. IAS has set out accounting guidelines since 2001. This research will analyse the role of IAS in ensuring the quality of reports.

Topic 12: The role of modern accounting in the economic development of emerging countries.

Research Aim: This research will study modern accounting methods and how they impact the economies of developing countries. Modern-day accounting methods are different as compared to traditional methods. Thus, this research will talk about the techniques utilised today and how they help uplift economies.

Topic 13: Evaluating the use of accounting software and how they have impacted businesses.

Research Aim: Accounting software is in use in almost all companies. Even large multinational firms now use accounting software. This research will focus on evaluating modern-day accounting software and its performance. Furthermore, the research will discuss their role in the success of companies and whether or not businesses have benefitted from them.

Topic 14: Assessing the impact of international risk exposure on UK banks’ financial performance.

Research Aim: This research will understand the various international risk exposures to the financial performance of UK banks. The study will be based on a mixed research method, thus presenting statistics and figures and discussing the UK banks’ financial performance.

Topic 15: Studying the impact of Brexit on the UK financial industry.

Research Aim: Brexit is the talk of the hour. A lot of businesses and companies and the UK economy are said to be impacted. This research will assess the impact of Brexit on the UK Financial industry and will conclude with its effects and suggest how the UK government can work to overcome these.

Topic 16: Cryptocurrencies: market analysis and perspectives

Research Aim: The rise of cryptocurrencies’ value on the market and their growing popularity around the world open a number of challenges and concerns for business and industrial economics. Using the lenses of both neoclassical and behavioural theories, this research discusses the main trends in academic research related to cryptocurrencies and highlights the contributions of the selected works to the literature.

Microfinance Dissertation Topics

Microfinance is gaining popularity in today’s world. Microfinance looks after the interest of low-income individuals and provides support to their small businesses by providing financial assistance or services. These individuals are allowed to lift themselves out of poverty and move towards a better future.

In recent years, a considerable number of efforts have been made worldwide to gain acknowledgement for microfinance in the eyes of the corporate and banking sector. Studying microfinance provides us with an opportunity to understand the issues and problems related to low-income individuals.

Choosing this sub-area for your final project will help you learn in detail about microfinance. Here are some interesting microfinance dissertation topics:

Topic 1: Discussing the rapid pacing and fast-growing popularity of microfinance on an international platform

Research Aim: This research will first talk about the basics of microfinance, i.e. what it is, to whom it relates and how it helps people and businesses worldwide. Then, it will move forward and discuss its emergence in today’s modern world.

Topic 2: An analysis of the role and trend of microfinance in the UK banking sector

Research Aim: This research will analyse in-depth the role and trend of microfinance in the UK banking sector.

Topic 3: Exploring the constraints faced by the UK in establishing the Microfinance market and how it Impacts businesses

Research Aim: This research will understand the United Kingdom’s issues in setting up microfinance markets and how it affects businesses.

Topic 4: A UK-based discussion and critique on demand for collective investment schemes

Research Aim: This research will talk about the UK’s collective investment schemes and their needs.

Topic 5: Assessing the trend of Microfinance in the developing world and its impacts

Research Aim: This research will assess the Microfinance trend in the developing world and how it affects the general public.

Topic 6: Linking credit accessibility and financial amenities to development and growth: A debate

Research Aim: This research will debate the credit accessibility and financial amenities to growth and development. The study will conclude as to how far it has helped economies.

Topic 7: Analysis of the need for public and private sector partnerships for promoting Microfinance

Research Aim: This research will explore how private and public sector partnerships can help promote Microfinance and why countries should focus on this partnership.

Topic 8: A eurozone-based study on the accessibility of financial services like Microfinance to low-income individuals.

Research Aim: This research will explore the accessibility of financial services like Microfinance to low-income individuals and what measures have been taken to ensure small businesses and deserving individuals can take advantage of microfinance schemes.

Topic 9: This research will study the accessibility of financial services like Microfinance to low-income individuals in the EU.A comparison between Asia and Europe based on financial innovation ideas and capacity

Research Aim: This research will compare and contrast Asia and Europe based on the ideas of financial innovation and capacity.

Topic 10: A financial feasibility study of certain products available in the native market

Research Aim: This research will understand a few products’ financial feasibilities in the native markets.

How Can ResearchProspect Help?

ResearchProspect writers can send several custom topic ideas to your email address. Once you have chosen a topic that suits your needs and interests, you can order for our dissertation outline service which will include a brief introduction to the topic, research questions , literature review , methodology , expected results , and conclusion . The dissertation outline will enable you to review the quality of our work before placing the order for our full dissertation writing service!

Retail and Commercial Banking Dissertation Topics

Retail banking offers financial services to individuals instead of companies or organisations. At the same time, commercial banking focuses on providing services to corporations and large businesses. In today’s world, the popularity and significance of retail and commercial banking are declining.

However, it still holds importance for the banking sector as these two types of banking are popular worldwide. Thus, exploring this sub-area of banking will help us understand how retail and commercial banking work, their issues, and how they benefit people. Some dissertation topics in this area are given below:

Topic 1: Assessing the role of Commercial Banking in the European banking system and its impact on Retail Banking.

Research Aim: This research will discuss Commercial Banking’s role in the European banking system and study how Commercial Banking impacts Retail Banking.

Topic 2: Exploring the present trends in the management of assets and liabilities. A Case Study of the UK banking sector.

Research Aim: This research will assess asset-liability management trends in the UK banking sector.

Topic 3: A discussion on the approaches for managing assets and liabilities in the world of Commercial Banking.

Research Aim: This research will understand the various approaches that are undertaken for managing asset liability in Commercial Banking.

Topic 4: A critical analysis of the role of Retail Banking in providing financial assistance to rural development in the UK.

Research Aim: This research will discuss the role of retail banking in offering financial assistance to develop rural areas in the UK.

Topic 5: Assessing the growth and progress of Commercial Banking over time and how it has impacted the economies

Research Aim: This research will discuss Commercial Banking’s growth and progress in the past few years and how this growth has impacted economies.

Topic 6: Commercial Banking: Studying how efficient and successful it has been for the economies

Research Aim: This research will study Commercial Banking’s efficacy and success and how it has helped economies grow and emerge.

Topic 7: Analysing the factors impacting the profitability of commercial banks.

Research Aim:  This research will discuss in-depth the factors that impact commercial banks’ revenue generation process.

Topic 8: Studying the role of commercial banks in the growth of economies

Research Aim: This research will investigate how commercial banks have helped economies grow.

Topic 9: Comparative analysis of the top five commercial banks in the UK.

Research Aim: This research will compare five commercial banks operating in the UK. This research topic can be customised to a choice of your five commercial banks.

Topic 10: Commercial or retail banking? An in-depth analysis of the European banking system.

Research Aim: This research will compare and analyse two popular types of banking – retail and commercial. The study will discuss how they have grown and emerged successful in the European system.

Financing in Emerging Market Dissertation Topics

The term ‘emerging market’ is used for countries that have the potential to emerge as developed markets in the future. These countries have certain features and qualities of a developed market and, therefore, have a full chance of becoming one.

For example, countries like India, Russia, and China are examples of how quickly countries can grow and become developed nations. Considering the growth and market of these emerging markets, different organisations worldwide are trying to establish or expand their business.

Thus, exploring these countries’ financial sectors will help us understand how the markets evolve and what emerging nations hold for the financial industry. Here are some interesting dissertation topics in this area:

Topic 1: Do the organisations find emerging markets cheap to establish their business?

Research Aim: This research will discuss whether all the factors make emerging nations a cheap and desirable choice for businesses.

Topic 2: An analysis of the outlook and expectations of UK investors from emerging markets

Research Aim: This research will discuss UK investors’ expectations from the emerging markets.

Topic 3: Analysing how Investment Banking has evolved and can be applied in emerging markets

Research Aim: This research will analyse how Investment Banking has grown over time and its role in emerging markets.

Topic 4: Critical analysis of banking system in emerging markets: Financial consultancy

Research Aim: This research will present a critical analysis of the emerging markets’ banking sector.

Topic 5: Analysing the trend of Direct Foreign Investment in Asian countries and its effect on their economy

Research Aim: This research will explore FDI trends in the Asian region and study their impact on the economy.

Topic 6: Analysing the factors that Impact FDI in China and how it impacts the economic development of the country

Research Aim: This research will study the factors impacting FDI in China and how it affects the country’s economic development.

Topic 7: Issues in the Banking Sector – A Case Study of India

Research Aim: This research will assess the Indian banking sector’s issues and how they can be resolved.

Topic 8: The role played by Microfinance in the growth of emerging economies

Research Aim: This research will analyse how microfinance has helped developing nations become developed nations.

Topic 9: Studying the challenges faced by financial institutions in emerging markets

Research Aim: This research will study and analyse the challenges and issues faced by financial institutions operating in emerging markets.

Topic 10: Factors contributing to financial stability in the banking system: A case study of Russia

Research Aim: This research will study the factors that contribute to the Russian banking system’s success and stability.

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Alternative Investment Dissertation Topics

The financial instability of the markets has forced investors to move towards alternative investments. They now prefer offshore investment funds or mutual funds. These investment methods help investors earn more than traditional investment instruments.

Thus, exploring these instruments and tools will help us understand these tools’ various benefits and how they work. Here are some interesting topics to understand alternative investment:

Topic 1: Studying the evolution and growth of hedge funds and their impact on the investment market of the United Kingdom.

Research Aim: This research will aim to explore the growth of hedge funds and how they affect the UK’s investment market.

Topic 2: A Study of the popular trends in mutual and index funds.

Research Aim: This research will explore the popularity and trends of mutual and index funds.

Topic 3: Can regulatory involvement and implementation control alternative investments: An Analysis?

Research Aim: This research will discuss the regulatory involvement and explore the various alternative investments to discuss if they impact the investment instruments.

Topic 4: An analysis of mutual funds benefits: comparison between its investment and returns.

Research Aim: This research will compare and analyse mutual funds based on their benefits, investment requirements and returns.

Important Notes

As a finance and accounting student looking to get good grades, it is essential to develop new ideas and experiment with existing finance and accounting theories – i.e., to add value and interest to your research topic.

The finance and accounting field is vast and interrelated to many other academic disciplines like civil engineering ,  construction ,  law , engineering management , healthcare , mental health , artificial intelligence , tourism , physiotherapy , sociology , management , project management , and nursing . That is why it is imperative to create a project management dissertation topic that is particular and sound and actually solves a practical problem that may be rampant in the field.

We can’t stress how important it is to develop a logical research topic based on your entire research. There are several significant downfalls to getting your topic wrong: your supervisor may not be interested in working on it, the topic has no academic creditability, the research may not make logical sense, and there is a possibility that the study is not viable.

This impacts your time and efforts in  writing your dissertation as you may end up in a cycle of rejection at the initial stage of the dissertation. That is why we recommend reviewing existing research to develop a topic, taking advice from your supervisor, and even asking for help in this particular stage of your dissertation.

Keeping our advice in mind while developing a research topic will allow you to pick one of the best finance and accounting dissertation topics that fulfil your requirement of writing a research paper and add to the body of knowledge.

Therefore, it is recommended that when finalising your dissertation topic, you read recently published literature to identify gaps in the research that you may help fill.

Remember- dissertation topics need to be unique, solve an identified problem, be logical, and be practically implemented. Please look at some of our sample finance and accounting dissertation topics to get an idea for your own dissertation.

How to Structure your Finance and Accounting Dissertation

A well-structured   dissertation can help students   to achieve a high overall academic grade.

  • A Title Page
  • Acknowledgements
  • Declaration
  • Abstract: A summary of the research completed
  • Table of Contents
  • Introduction : This chapter includes the project rationale, research background, key research aims and objectives, and the research problems. An outline of the structure of a dissertation can  also be added to this chapter.
  • Literature Review :  This chapter presents relevant theories and frameworks by analysing published and unpublished literature on the chosen research topic to address research questions . The purpose is to highlight and discuss the selected research area’s relative weaknesses and strengths while identifying any research gaps. Break down the topic and key terms that can positively impact your dissertation and your tutor.
  • Methodology: The  data collection  and  analysis  methods and techniques employed by the researcher are presented in the Methodology chapter, which usually includes  research design,  research philosophy, research limitations, code of conduct, ethical consideration, data collection methods and  data analysis strategy .
  • Findings and Analysis: The research findings are analyzed in detail in the Findings and Analysis chapter. This chapter outlines all key findings/results without interpreting the data or drawing any conclusions. It can be useful to include graphs, charts,   and  tables  in this chapter to identify meaningful trends and relationships.
  • Discussion and Conclusion: The researcher presents his interpretation of the results in this chapter and states whether the research hypothesis has been verified or not. An essential aspect of this section is establishing the link between the results and evidence from the literature. Recommendations with regard to the implications of the findings and directions for the future may also be provided. Finally, a summary of the overall research, along with final judgments, opinions, and comments, must be included in the form of suggestions for improvement.
  • References: Make sure to complete this following your University’s requirements
  • Bibliography
  • Appendices: Any additional information, diagrams, and graphs used to  complete the dissertation  but not part of the dissertation should be included in the Appendices chapter. Essentially, the purpose is to expand the information/data.

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How to find finance dissertation topics.

To discover finance dissertation topics:

  • Follow financial news and trends.
  • Analyse emerging market issues.
  • Explore regulatory changes.
  • Review finance journals.
  • Consider real-world applications.
  • Opt for a topic aligning with your expertise and career aspirations.

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233 best finance dissertation topics to write about.

August 10, 2021

Hearing about finance thesis topics or finance management project topics could scare you. Many finance students are afraid of digging into their finance research topics list because of the complexities that could be involved. You can center your essay, presentation, paper, or dissertation on any aspect of finance. It could be corporate finance, healthcare finance topics, or something about managing financial risks.

finance dissertation topics

To ease your fear and make your research easy, here are topics across different parts of finance for you. You may be an MBA student, college student, or student in need of writing tips. With these topics, you should only bother about how to write your research.

Finance Research Topics for MBA

You may be interested in writing on risk management or other forms of finance paper topics to fulfill your MBA requirements. You can consider these finance management project topics:

  • Assess the capital management and investment choices of (company)
  • Attempt a research study on Employee salary plan and Employee strategy for paying taxes
  • Assess the intermediaries in the stock market and how they affect or improve market growth
  • A comparative study between traditional finance methods in America and the influence of Fintech
  • Invoice: a contemporary perspective on client-customer accountability
  • An Assessment of life insurance and health insurance and how it contributes to financial realities
  • A critical assessment of risk management in internet trading
  • A study of investment and the investor in stock market
  • A critical Assessment of the commodity market in North America
  • A study of investment selfishness and protection of company interest by management
  • An Analysis of risk management strategies and how it has worked overtime
  • A study of capitalism and how it bears semblance to China’s communism
  • A bird’s eye view at the stock exchange of India and New York
  • The study of debt patterns and how they affect savings
  • The study of debt patterns and how they affect financial accountability
  • The study of saving patterns and how it relates to financial management
  • A survey of investment preferences and strategies of real estate investors
  • A critical analysis of investment preferences and strategies of retail investors
  • The study of stocks in the banking sector
  • Small business and medium-sized business: a Critical Assessment of investment choices, strategies, and risks
  • The Assessment of risk in mutual funds
  • The assessment of risk in the commodity market
  • The Assessment of risk and risk patterns in Forex trading
  • The danger and blessings of reliability on Cryptocurrency
  • Cryptocurrency: the way forward for the digital age and the risks involves in financial and data security
  • A study of budget control, inventory management and their roles in business growth
  • Online payment: the risk and the growth of financial technology
  • The study of income and taxation: how low-income earners fair in a capitalist society
  • The financial risk of Chinese Communism
  • What are multi-level marketing and its distinctions to other forms of entrepreneurial marketing systems?

Finance Research Topic List

If you’re looking for topics to base your research on, there are limitless healthcare finance topics, finance management topics, and many others for your finance dissertation. You can consider the following topics shaped in the form of questions for your project.

  • Digital currency: how digital marketing and sales have changed the world of currency and channels for trade
  • Data protection: what is new and how does it impact social security?
  • Financial Technology: the strategies of development and how it has challenged the status quo
  • Blockchain technology: what does it mean for the world?
  • Crowdfunding: how has social media contributed to emergency financial assistance
  • A critical attempt to study portfolio Management in the UK
  • A study of foreign exchange and the risk involved in such Transactions
  • Trends and challenges of the innovations in financial technology
  • The Development of online trading and what it means for the world and risk management
  • A study of equity and technical analysis before and after investment
  • Bonds and risk clearing in the banking sector
  • The banking sector and how it bears semblance with the insurance industry
  • Organizational investment chart: the risk and the profits for the past 5 years and what was responsible for risks and profits
  • Compare and contrast the marketing systems of two companies
  • Investment companies: how price fluctuations could affect business Transparency and customer trust
  • Agriculture and business: how does it work together?
  • Gold and diamond: an assessment of luxury goods Industry
  • Retail industry: how business owners manage themselves in periods of financial crisis, a case study of Ali Baba
  • A critical assessment of students loans in the UK and the US
  • Insurance companies and the complexities around their roles in the promotion of financial security
  • Financial security: the reality of a lie for middle and low-income earners
  • The study of business preferences in investors and how it affects what is considered “credible” businesses and otherwise
  • How financial growth relates to financial independence
  • Why an international and mega-company can’t be without debt
  • A critical Assessment into the theories of financial probability and how it affects business growth

Research Topics for Finance Students

If you’re interested in finance research papers topics, you may want to blow the mind of your professor with practical approaches to contemporary issues. You can consider the following topics for your university essay or project:

  • A study of banking and the growing significance of digital banks over physical banks
  • An attempt to assess reasons behind the fierce opposition of banks towards digital currency trends in recent years
  • The digital age and the challenges to banking and risk management
  • A study of security practices in protecting online data on retail stores and digital trading centers
  • Terrorism: an attempt to identify the loopholes of AI and Fintech in recognizing suspicious patterns to tackle terrorism
  • Ethics of banking profits: what is right and what is wrong for the customer
  • The developments of UK exits of Brexit and what it means for the UK banking system, the public, and the international community
  • The education of accounting in the UK and its influence on the banking sector
  • Auditing: a Critical Assessment on the theories of trust in business
  • How contemporary accounting standards can be driven to exceed the expectations of regulators
  • The need for regulators in the international financial systems
  • A critical assessment of the financial systems of the UN
  • Accounting programs: compare and contrast the systems of the US and the systems of the UK
  • Law: where legal aid is essential in financial protection in business by two or more founders
  • Financial accountability and risk management: a case study of (an NGO)
  • Contemporary financial trends and how it complicates or improve the financial sector
  • Analyze the challenges of modern banking systems and the risk for customers
  • Poverty alleviation schemes: a sham or a potential means to reduce poverty
  • The study of regulation and supervision in the banking industry
  • An Analysis of the strategies employed by microfinance institutions which leads to growth of business decline
  • A critical assessment of the trends in financial technology and its impacts on the growth of the industry within a 10-year scope
  • International banking and the systems to discover risk and fraud
  • Fraud: how Financial institutions can tackle the challenge of online scam
  • The transition from Traditional financial systems to contemporary financial systems: what changed?
  • The concerns of the public and their reactions to the commencement of IFRS in the UK
  • A critical study of real estate companies and agencies in the UK through the eyes of a banker
  • Investment banking: the link between capital structure and property management
  • An investigation into the influence of digital retail industries on the economic growth of US
  • Domestic and foreign banks: a study of profitability and risks
  • Retail Industry: how COVID-19 affected investment in the offline retail industry

Finance Topics for Presentation

If you’re considering research topics in finance for your presentation, you can as well choose business finance topics. These are topics about real-life situations which you can reflect on to your selected audience. Depending on the situation, you can fine-tune the following topics to your interest:

  • An analysis of a trend in the finance industry over the past two years
  • An assessment of pension plans and how retirees could remain in financial penury
  • Report of trading and the competition across countries of the world
  • The weakness of mutual funds and how it poses a challenge in the present day Financial market
  • How companies manage their asset and the chains of distribution
  • A critical Assessment of consumer behavior towards marketing in online stores and physical stores
  • Risk management and what it means for small businesses in the digital age
  • A guide to Forex trading and the things you must be conscious of
  • A study of trading accounts and trader interest in digital investments
  • An attempt to study investor protection and SEBI
  • The economic chart of China’s Belt and Road initiative and what it means for the international economy
  • The sustainability of Chinese economic growth: possibilities and dangers
  • The economic ties of China with Russia: the politics and the economic interests
  • The distinction between international politics and economics
  • The benefits of the global market in Chinese economic progression
  • Exchange rates and what leads to the changes in the market structure
  • How you can manage your finances even when you save more than half of your earnings
  • Macroeconomics and the problems of the international community: what is the role of macroeconomics in today’s world?
  • What are the standards of financial reporting and how does it improve business accountability
  • The profit of firms and how it affects corporate social responsibilities

Corporate Finance Research Topics

If you need a finance research topic list on investment, banking, or any other sector of international finance, you can still impress your professor with your topic choices. You can consider:

  • Does auditor independence help in achieving transparency and accountability in business?
  • Organizational structure and how it related to corporate debt rate
  • The ethical challenges of corporate finance and possible solutions for financial security
  • The importance of bank officials in the international stock exchange market
  • The effect of price fluctuations in the prices of stocks and bond ratings
  • The importance of the knowledge of business finance for an entrepreneur
  • Business modernization: what has changed and what remains practical?
  • Economic crisis: the challenge on corporate organizations and how they overcome economic death
  • Corporate organizations: a study of three companies and how they fared during the 2008/09 economic recession
  • Corporate organizations: the challenges COVID-19 pandemic caused and how they overcome it
  • Financial crisis: how the banking industry can help in the circulation of money
  • Why corporate organizations should learn about accounting and auditing
  • The economic structure of a corporate organization of your choice
  • The problems and challenges faced by corporate organizations under the contemporary financial systems
  • Financial realities: what it means for personal finances and corporate finances

International Finance Topics

If you’re interested in writing about international finance topics, you are not restricted to a particular continent or the economic part of the international economy. You can flex your potential across continents, even the politics involved in the economic systems of countries. You can consider finance research paper topics like:

  • A critical study of foreign investment and the trend of economic growth in Ghana
  • A study of the economy of China and Russia in the last 10 years
  • The trends in the international economic systems
  • The politics of international economy and how policies have political undertones
  • Saudi economic reform: the changes in foreign economic structures
  • Oil and gas industry: the market share of the industry and how it determines overall economic capacities of a country
  • The role of small businesses in the economic growth of the US
  • The advantages and challenges of digital banking
  • Assess the benefits and dangers of foreign investment in any African country
  • Study the trends of the Belt and Road initiative in the past 5 years and identify the changes in the acceptance of China’s economic power
  • The Financial crisis of 2007 was inevitable: discuss
  • What determines payouts and corporate dividends?
  • A review of financial terms in the international context
  • The effectiveness of financial forecasts and their impacts on internal development
  • An Assessment of the need for financial corporations in any country in Latin America
  • Global Financial crisis and what it means for every country of the world
  • Regional integration and the importance in a capitalist or socialist environment
  • What causes the devaluation of the currency of any country of your choice
  • What is the role of International Monetary Funds in alleviating systemic poverty in beneficiary countries
  • A study of liberal international economy and its potential benefits to all

Interesting Finance Topics

There are also interesting research topics for finance students to write about in your paper or essay. You can consider the following finance paper topics:

  • A study of the financial policies and structure of the United States under President Donald Trump
  • How can companies fail through their financial decisions: a case study of two companies
  • The role of financial markets in the sharing of Financial Resources?
  • The challenges of modernity in answering questions about digital banking
  • Social security: the financial side that protects customers
  • The possibilities of regulating the economy of a country through its financial resources and outlets
  • NGOs: the formation of financial resources and the problems associated over time
  • What do you think about taxes?
  • The principles of capitalism and how it affects personal savings for low-income earners
  • The ethics of financial management
  • The theory of economic integration in Europe
  • The UK exit Brexit: what does it mean for regional economic integration?
  • Budgetary and the challenges of the system
  • The implementation of taxation and the economic significance
  • Loans as the potential source of constant debt
  • There is more mathematics in finance
  • Finance encompasses the economy of nations and offers insights into functionalities
  • Online Investments: the test of individual financial choices

Public Finance Topics

If you want to know about the influence of a government in the economy of its state, you may need to analyze the context of finance, debt, taxation, and other finances. For your finance thesis topics, you can consider:

  • A critical study of the US government in its financial systems
  • The evaluation of how taxes are used to increase revenue
  • The idea of theory and practice when it involves taxation policies and implementations in the UK
  • How government share the revenue it raised
  • Budgeting and accounting systems of the government of your state of choice
  • Public finance and policies and how it could affect international trade
  • Public financial policies and how they could influence a company’s growth
  • The effects of the public finance sector on the international market
  • Economic efficiency and the role of public finance in achieving it
  • The world bank and its financial roles in an Asian country of your choice
  • Can countries do without financial regulatory bodies?
  • The role of public finance in increasing the growth of small business owners
  • The effect of population explosion on public finance
  • The Influence of modernity and technology on government Financial decisions
  • A study of bad credits and what it means for personal finances
  • An analysis of the economic reforms of President Xi of China
  • An analysis of the economic reforms of the United States under President Biden
  • An assessment of the economic reforms in contemporary Russia
  • An assessment of the economic systems before industrialization and after industrialization
  • The Influence of politics on public finance and growth
  • How does the relationship between the World Bank and a developing country aid or impeded economic development in that country?
  • How the implementation of hedge funds can help increase the economy of a country
  • The differences between loans and foreign investments
  • Public finance and poor management: what does it mean for the public?
  • How can governments make wise economic policies and reforms?

Finance Debate Topics

You may want to try international finance topics and convert them into a debate. There are many arguable financial topics to write about. You can explore the following topics:

  • College Education should be free
  • The evolution of digital banking makes every insecure
  • People do not need health or life insurance
  • Personal finance has nothing to do about personal behavior, it’s all about a high level of income
  • Buying a used car is better than buying a new car
  • It’s better to pay a student loan off first
  • Multinational corporations exist to keep their host countries in perpetual economic decline
  • The monopoly of multinational corporations is a sin
  • Cryptocurrency leads to financial insecurity
  • The digital retail Industry is the death of physical retail stores
  • Quality over quantity: what matters?
  • Job security is not what the government can guarantee
  • Financial security is a myth
  • Poverty alleviation schemes are only schemes that meet present challenges; they’re not sustainable
  • Healthcare should be commercialized
  • Everyone should access basic social needs without paying for it
  • The institution of taxation is dangerous for financial independence
  • There should be no poor people in developed countries
  • Capitalism is no better than communism as a flawed economic system
  • The danger of foreign aid is more than its benefits
  • Corruption is inevitable in the government and the private sectors
  • Nationalism is the death of globalized economics
  • There is no economic freedom
  • What makes multinational corporations superior is the backing of their home government
  • The weakness of a country is its economic policies, not the people
  • Private companies cannot help to improve a country’s economy
  • The industries of the public sector should be in private hands
  • Trade unions help secure better economic reforms
  • Corruption is inevitable in a growing economy
  • Oil is a major contributor to the growth of world finance
  • Loans are for the good of the borrower
  • Foreign investment is a curse in disguise
  • You can’t save up on your own

Topics in Mathematics with Applications in Finance

As you know, there are certain aspects of Mathematics in finance. If you want to elaborate on any topic in finance with connection to mathematics, you can choose either of the following:

  • Single variable calculus
  • Linear algebra
  • The concept of probability
  • Statistics and charts
  • Value Added Tax
  • The models of Value At Risk (VAR)
  • Stochastic Processes
  • The modeling of volatility
  • The models of commodity
  • The study of portfolio management
  • Factor modeling
  • Risk neutral valuation
  • The recovery theory of Ross
  • Interest rates and credits: HJM models
  • The time series models
  • The Quanto credit hedging
  • The theory of counterparty credit risk

Are You Having Trouble With Your Finance Dissertation?

Now that you know various research topics for finance students, you can get started with your essay, presentation, dissertation, or project. If you need any help or writing tips, you can reach out to thesis writing services online. You can also find dissertation writing experts for a professional and quality dissertation if you’ll be too busy to write one. You shouldn’t be losing sleep because of your dissertation!

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Thesis Topics

General area of thesis supervision:.

Empirical Finance, Quantitative Finance, Risk Management, Parameter and Model Uncertainty, Forecasting

Open Topics:

Seminars (e.g. seminar in finance).

  • COVID-19 and impacts on financial markets (moments/cross-sectional moments)
  • Ambiguity/Parameter Uncertainty and Real Option Portfolios (Literature Review)
  • Predicting Equity Risk Premia via Machine Learning this paper
  • Factor Momentum: Does it exist in statistical factors?
  • Uncertainty and Google searches Dzielinski, (2012)
  • Predicting the equity premium with ambiguity, which measure performs best?
  • Predicting stock returns with ambiguity vs measuring the current level of ambiguity from the markets
  • Predicting the equity premium with cross-sectional moments using simple ML rather than OLS and auto-encoders rather than principal components.
  • Turbulence before and after elections. Is there a relationship to the measure of political uncertainty of Kelly et al. (2016) ?
  • Uncertainty and Volatility. Conduct a literature review.

Thesis (Mainly master thesis)

Please be aware, that I will only supervise theses, where the Research Proposal fulfills the following requirements:

  • Either use exactly one of the topics given below, or
  • Suggest a topic that is closely related to one of those given below. If so, the main paper to base your research on must have been published (or accepted for publication) in one of the Top Finance Journals (preferrably A+, but at least A in this ranking ).
  • For the Research Pitch/Proposal I suggest to take a very close look at Robert Faff’s Webpage on pitching research , especially on the Finance examples.

Political Finance:

  • Relationship between Populism and Financial Markets (Data available)
  • The cost of populism (relate to corruption and economic freedom indices)
  • Election Portfolios: Drivers of Betting Quotes and Stock Returns
  • Based on data from this (conditionally accepted) AER paper see how financial markets did perform during this time

Innovative Finance - Machine Learning in Finance:

  • Multivariate Predictability in Assets and Factors. Apply Machine Learning techniques to exploit linear and nonlinear predictability.
  • Machine Learning in Asset Management. Clustering/Shrinking, Factor Models and the Covariance Matrix
  • Optimal Portfolio Building using Machine Learning Techniques (investigate possible modifications of the loss function)
  • Predicting the Equity Premium with Machine Learning and turbulence measures rather than anomaly returns (see this paper )

Innovative Finance - Cryptocurrencies:

  • The predictability of cryptocurrency returns and the transfer/reference currency
  • Delisting Bias in aggregate CC returns
  • Machine learning and crypto currencies
  • Efficient portfolio formation for crypto currencies
  • Factor investing in crypto currencies
  • A cryptocurrency turbulence index

Innovative Finance - Uncertainty (Parameter/Financial/Macro-Financial/Portfolio …):

  • NEW: History-aware ambiguity measures: is there something turbulence can learn from probability uncertainty and vice-versa?
  • NEW: Macro-Financial Uncertainty and the work of Rossi & Sekhposyan, 2017 and Rossi, Sekhposyan & Soupre, 2016 . Relate the various indices to each other. What measures what? How can we find out what the best measure of uncertainty is? (see also Bekaert et. al, 2022 )
  • The term structure of uncertainty: Uncertainty (Unusualness/Turbulence) in good times, uncertainty in bad times and uncertainty about bad times. Investigate the term structure of uncertainty and its implications on (e.g.) asset prices.
  • Within- and cross-country uncertainty (data available). What drives (international) asset prices?
  • Higher (Co)Moment Uncertainty and Stock Returns: The case of the Covid-19 crash (also relate to coskewness risk)
  • Follow Redl (2018) and link elections to macro/financial uncertainty
  • Closely related: Check how much macroeconomic uncertainty/parameter uncertainty relate to the results of Pflueger, Siriwarda & Sunderam (2018): A Measure of Risk Appetite for the Macroeconomy
  • Some more uncertainty: Replicate this paper using our Macro-Uncertainty Index
  • Financial Turbulence and the Estimation of Tail Risk

Asset Pricing:

  • What is the optimal number of portfolios to build for long-short factor premia? Is building portfolios the right way? A good starting point is this paper (ONLY FOR TOP STUDENTS)
  • What is the optimal number of partitions (portfolios) for the calculation of cross-sectional predictors (e.g. cross-sectional volatility)? Which cross-section delivers the best predictor of the equity premium? (ONLY FOR TOP STUDENTS, I CAN PROVIDE DATA AND PARTS OF THE CODES). See also Walter et. al, 2022, Non-Standard Errors in Portfolio Sorts
  • All about factor momentum and expected returns: Hanlin Yang (2020): Decomposing Factor Momentum . See also Eshani and Linainmaa (2019): The Inevitability of Momentum and Eshani and Linainmaa (2019): Factor Momentum and the Momentum Factor ) Gupta and Kelly (2019): Factor Momentum everywhere
  • Factor Momentum: Factor Uncertainty and Factor Momentum Performance.

Asset Selection:

  • Robust portfolios: Estimation & Empirics

Pension Finance

  • Dollar-Cost Averaging vs Lump-Sum Investments in the context of market predictability (market timing) and life-cycle investments.

Theses Supervised:

  • Performancevergleich und -entwicklung von aktiv und passiv gemanagten Schweizer Aktienfonds im Zeitraum von 2008 bis 2019 (BSc)
  • Parameter Uncertainty and Equity Premium Prediction via Machine Learning Techniques (MSc)
  • Factor Momentum Performance in Characteristics based Portfolios (MSc)
  • Measurement and comparability of impact investing in asset management (MSc)
  • Predicting stock returns in the presence of breaks by following the approach from Smith and Timmermann (2021): Evidence from the European market (MSc)
  • Parameter Uncertainty and Portfolio Management (PhD Mentoring)
  • Machine Learning in Financial Economics (PhD Mentoring)
  • The Risk Premium of Critical Raw Materials - A Signal for Priority Needs in Realising the European Green Deal (MSc, A. Caroline White)
  • Empirical asset pricing via Machine Learning: Evidence from the Cryptocurrency Market (MSc, A. Stefan Macanovic)
  • Inflation-Hedged Portfolios within the European Stock Market (MSc, A. Fabian Köffel)
  • Sub-portfolio Optimization (BSc, A. Jasminko Kulenovic)
  • Stock Market Prediction With Long Short-Term Memory Recurrent Neural Networks (BSc, A. Elizabeth Sanyal)
  • Robust Portfolio Optimization with Deep learning - Using past Forecast Errors to Improve Return Predictions (MSc, A. Markus Wabnig, best Master in Finance 2022)
  • The EUR/CHF Exchange Rate and Euro Area Stress (MSc, A. Nicolas Tschütscher, best Master Thesis in Finance 2022)
  • Incorporating ESG Score Changes in Portfolio Management via Deep Learning (MSc, A. Lukas Müller)
  • Neural Network for KPI based Time Series Sales Forecasting (MSc, A. Niklas Leibinger)
  • Optimal Portfolio Building using Deep Learning Techniques (MSc, A. Michael Metz)
  • Economic Uncertainty Premia in U.S. Stock Markets during the COVID-19 Pandemic (MSc, A. Leo Pitscheneder)
  • Cryptocurrency: Delisting Bias in the coinmarketcap database (BSc, A. Fabian Köffel)
  • Multivariate Factor Forecasting and Smart Beta Investments (MSc, A. Dominik Brändle)
  • Evaluating Dollar-Cost Averaging under the Aumann-Serrano Framework (MSc, A. Jonas Sterk)
  • Impact of ESG exclusion on firms’ cost of capital (MSc, A. Fabian Müller)
  • Sales Forecasting with Machine Learning (MSc, A. Johannes Gassner)
  • Investors’ herding in the German equity options market: Evidence from the COVID-19 crisis (MSc, A. Dmytro Livshyts)
  • “Long/Short” Momentum-Strategie am Kryptowährungsmarkt (BSc, A. Timothy Rist, best Bachelor Thesis in Business Administration 2020)
  • Momentum meets Uncertainty (MSc, A. Dominik Kaiser, best Master Thesis in Finance 2020)
  • Changes in Investor Attention and the Cross-Section of Stock Returns: Evidence from Thomson Reuters and Google Trends (MSc, A. Emanuel Broger)
  • Künstliche Intelligenz und Anwendungsmöglichkeiten in der Vermögensberatung (MBA, A. Lukas Schäper)
  • Stock Price Prediction for Portfolio Management Using Recurrent Neural Networks and Machine Learning (EMBA, A. Jensen Chang)
  • Cross-Sectional Volatility and the Prediction of Factor Premia (MSc, A. Maibach, Runner-Up Finance Award)
  • Multi-Factor Timing (MSc, B. Jäger, Winner of Finance Award, best Master Thesis in Business Science)
  • Stock Age as Proxy for Uncertainty of Parameters (MSc, S. Sturzenegger)
  • The Influence of News Coverage on Stock Returns – Evidence from European Markets (MSc, A. Person)
  • Portfolio Optimization in a Cryptocurrency Environment: An Omega Optimization (BSc, D. Brändle, Runner-Up Finance Award)
  • Liquid betting against beta revisited: Evidence from all over the world (MSc, L. Salcher)
  • From IPO to Obsolete: Stock Age related investment strategies (MSc, P. Thoma)
  • Eurex index dividend futures hedging (MSc, A. Spiegel)
  • Predicting Equity Bear and Bull Markets: International Evidence (MSc, L. Liepert)
  • The North Korea threat and its effect on global stock markets: The case of South Korea, Japan and the USA (BSc, M. Wabnig)
  • Liquidity and the Polish Stock Market: Empirical Tests of Asset Pricing Models and Inclusion of Liquidity Factors (MSc, P. Ruzicka)
  • Dynamic Asset Allocation Strategies and An Optimisation Framework: How Optimal is Optimised? (MSc, F. Balz)
  • Prediction of the Monthly Sovereign Yield Spread Changes in EMU Countries from 2000 to 2016 using the Illiquidity Measure ‘Noise’ in Bond Prices (MSc, P. Heise)
  • Using momentum to improve low-volatility strategies: Evidence from the US stock market (BSc, M. Amann)
  • Terrorism and its effect on financial markets (MSc, S. Geiger)
  • Prognose von Aktienrenditen - Eine empirische Forschung über die Vorhersagbarkeit der zukünftigen Renditen des Swiss Performance Index anhand von Renditen - Dispersionen (BSc, B. Jäger)
  • Betting Against Beta (MSc, C. Lamprecht)
  • Cross-Sectional and Option-Implied (Higher) Moments and the Predictability of Historical Volatility: US Study (MSc, O. Vukovic)
  • The Relationship between Commodities and the Stock Market - Empirical Evidence for the Eurozone (MSc, P. Kain)
  • The Effectiveness of Constant and Time-Varying Futures Optimal Hedge Ratios - Empirical Evidence from the European Stock Market (MSc, E. Panagakou)

Sebastian Stöckl

Sebastian Stöckl

Assistant professor in financial economics (tenure-track).

My research interests include Financial and Economic Uncertainty as well as Empirical Asset Pricing.

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finance thesis topics 2020

  • 18 Jun 2024
  • Cold Call Podcast

How Natural Winemaker Frank Cornelissen Innovated While Staying True to His Brand

In 2018, artisanal Italian vineyard Frank Cornelissen was one of the world’s leading producers of natural wine. But when weather-related conditions damaged that year’s grapes, founder Frank Cornelissen had to decide between staying true to the tenets of natural wine making or breaking with his public beliefs to save that year’s grapes by adding sulfites. Harvard Business School assistant professor Tiona Zuzul discusses the importance of staying true to your company’s principles while remaining flexible enough to welcome progress in the case, Frank Cornelissen: The Great Sulfite Debate.

finance thesis topics 2020

  • Research & Ideas

Central Banks Missed Inflation Red Flags. This Pricing Model Could Help.

The steep inflation that plagued the economy after the COVID-19 pandemic took many economists by surprise. But research by Alberto Cavallo suggests that a different method of tracking prices—a real-time model—could predict future surges better.

finance thesis topics 2020

What Your Non-Binary Employees Need to Do Their Best Work

How can you break down gender boundaries and support the non-binary people on your team better? A study by Katherine Coffman reveals the motivations and aspirations of non-binary employees, highlighting the need for greater inclusion to unlock the full potential of a diverse workforce.

finance thesis topics 2020

  • 04 Jun 2024

How One Insurtech Firm Formulated a Strategy for Climate Change

The Insurtech firm Hippo was facing two big challenges related to climate change: major loss ratios and rate hikes. The company used technologically empowered services to create its competitive edge, along with providing smart home packages, targeting risk-friendly customers, and using data-driven pricing. But now CEO and president Rick McCathron needed to determine how the firm’s underwriting model could account for the effects of high-intensity weather events. Harvard Business School professor Lauren Cohen discusses how Hippo could adjust its strategy to survive a new era of unprecedented weather catastrophes in his case, “Hippo: Weathering the Storm of the Home Insurance Crisis.”

finance thesis topics 2020

  • 22 Apr 2024

When Does Impact Investing Make the Biggest Impact?

More investors want to back businesses that contribute to social change, but are impact funds the only approach? Research by Shawn Cole, Leslie Jeng, Josh Lerner, Natalia Rigol, and Benjamin Roth challenges long-held assumptions about impact investing and reveals where such funds make the biggest difference.

finance thesis topics 2020

  • 23 Jan 2024

More Than Memes: NFTs Could Be the Next Gen Deed for a Digital World

Non-fungible tokens might seem like a fad approach to selling memes, but the concept could help companies open new markets and build communities. Scott Duke Kominers and Steve Kaczynski go beyond the NFT hype in their book, The Everything Token.

finance thesis topics 2020

  • 12 Sep 2023

How Can Financial Advisors Thrive in Shifting Markets? Diversify, Diversify, Diversify

Financial planners must find new ways to market to tech-savvy millennials and gen Z investors or risk irrelevancy. Research by Marco Di Maggio probes the generational challenges that advisory firms face as baby boomers retire. What will it take to compete in a fintech and crypto world?

finance thesis topics 2020

  • 17 Aug 2023

‘Not a Bunch of Weirdos’: Why Mainstream Investors Buy Crypto

Bitcoin might seem like the preferred tender of conspiracy theorists and criminals, but everyday investors are increasingly embracing crypto. A study of 59 million consumers by Marco Di Maggio and colleagues paints a shockingly ordinary picture of today's cryptocurrency buyer. What do they stand to gain?

finance thesis topics 2020

  • 17 Jul 2023

Money Isn’t Everything: The Dos and Don’ts of Motivating Employees

Dangling bonuses to checked-out employees might only be a Band-Aid solution. Brian Hall shares four research-based incentive strategies—and three perils to avoid—for leaders trying to engage the post-pandemic workforce.

finance thesis topics 2020

  • 20 Jun 2023

Elon Musk’s Twitter Takeover: Lessons in Strategic Change

In late October 2022, Elon Musk officially took Twitter private and became the company’s majority shareholder, finally ending a months-long acquisition saga. He appointed himself CEO and brought in his own team to clean house. Musk needed to take decisive steps to succeed against the major opposition to his leadership from both inside and outside the company. Twitter employees circulated an open letter protesting expected layoffs, advertising agencies advised their clients to pause spending on Twitter, and EU officials considered a broader Twitter ban. What short-term actions should Musk take to stabilize the situation, and how should he approach long-term strategy to turn around Twitter? Harvard Business School assistant professor Andy Wu and co-author Goran Calic, associate professor at McMaster University’s DeGroote School of Business, discuss Twitter as a microcosm for the future of media and information in their case, “Twitter Turnaround and Elon Musk.”

finance thesis topics 2020

  • 06 Jun 2023

The Opioid Crisis, CEO Pay, and Shareholder Activism

In 2020, AmerisourceBergen Corporation, a Fortune 50 company in the drug distribution industry, agreed to settle thousands of lawsuits filed nationwide against the company for its opioid distribution practices, which critics alleged had contributed to the opioid crisis in the US. The $6.6 billion global settlement caused a net loss larger than the cumulative net income earned during the tenure of the company’s CEO, which began in 2011. In addition, AmerisourceBergen’s legal and financial troubles were accompanied by shareholder demands aimed at driving corporate governance changes in companies in the opioid supply chain. Determined to hold the company’s leadership accountable, the shareholders launched a campaign in early 2021 to reject the pay packages of executives. Should the board reduce the executives’ pay, as of means of improving accountability? Or does punishing the AmerisourceBergen executives for paying the settlement ignore the larger issue of a business’s responsibility to society? Harvard Business School professor Suraj Srinivasan discusses executive compensation and shareholder activism in the context of the US opioid crisis in his case, “The Opioid Settlement and Controversy Over CEO Pay at AmerisourceBergen.”

finance thesis topics 2020

  • 16 May 2023
  • In Practice

After Silicon Valley Bank's Flameout, What's Next for Entrepreneurs?

Silicon Valley Bank's failure in the face of rising interest rates shook founders and funders across the country. Julia Austin, Jeffrey Bussgang, and Rembrand Koning share key insights for rattled entrepreneurs trying to make sense of the financing landscape.

finance thesis topics 2020

  • 27 Apr 2023

Equity Bank CEO James Mwangi: Transforming Lives with Access to Credit

James Mwangi, CEO of Equity Bank, has transformed lives and livelihoods throughout East and Central Africa by giving impoverished people access to banking accounts and micro loans. He’s been so successful that in 2020 Forbes coined the term “the Mwangi Model.” But can we really have both purpose and profit in a firm? Harvard Business School professor Caroline Elkins, who has spent decades studying Africa, explores how this model has become one that business leaders are seeking to replicate throughout the world in her case, “A Marshall Plan for Africa': James Mwangi and Equity Group Holdings.” As part of a new first-year MBA course at Harvard Business School, this case examines the central question: what is the social purpose of the firm?

finance thesis topics 2020

  • 25 Apr 2023

Using Design Thinking to Invent a Low-Cost Prosthesis for Land Mine Victims

Bhagwan Mahaveer Viklang Sahayata Samiti (BMVSS) is an Indian nonprofit famous for creating low-cost prosthetics, like the Jaipur Foot and the Stanford-Jaipur Knee. Known for its patient-centric culture and its focus on innovation, BMVSS has assisted more than one million people, including many land mine survivors. How can founder D.R. Mehta devise a strategy that will ensure the financial sustainability of BMVSS while sustaining its human impact well into the future? Harvard Business School Dean Srikant Datar discusses the importance of design thinking in ensuring a culture of innovation in his case, “BMVSS: Changing Lives, One Jaipur Limb at a Time.”

finance thesis topics 2020

  • 18 Apr 2023

What Happens When Banks Ditch Coal: The Impact Is 'More Than Anyone Thought'

Bank divestment policies that target coal reduced carbon dioxide emissions, says research by Boris Vallée and Daniel Green. Could the finance industry do even more to confront climate change?

finance thesis topics 2020

The Best Person to Lead Your Company Doesn't Work There—Yet

Recruiting new executive talent to revive portfolio companies has helped private equity funds outperform major stock indexes, says research by Paul Gompers. Why don't more public companies go beyond their senior executives when looking for top leaders?

finance thesis topics 2020

  • 11 Apr 2023

A Rose by Any Other Name: Supply Chains and Carbon Emissions in the Flower Industry

Headquartered in Kitengela, Kenya, Sian Flowers exports roses to Europe. Because cut flowers have a limited shelf life and consumers want them to retain their appearance for as long as possible, Sian and its distributors used international air cargo to transport them to Amsterdam, where they were sold at auction and trucked to markets across Europe. But when the Covid-19 pandemic caused huge increases in shipping costs, Sian launched experiments to ship roses by ocean using refrigerated containers. The company reduced its costs and cut its carbon emissions, but is a flower that travels halfway around the world truly a “low-carbon rose”? Harvard Business School professors Willy Shih and Mike Toffel debate these questions and more in their case, “Sian Flowers: Fresher by Sea?”

finance thesis topics 2020

Is Amazon a Retailer, a Tech Firm, or a Media Company? How AI Can Help Investors Decide

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finance thesis topics 2020

  • 07 Apr 2023

When Celebrity ‘Crypto-Influencers’ Rake in Cash, Investors Lose Big

Kim Kardashian, Lindsay Lohan, and other entertainers have been accused of promoting crypto products on social media without disclosing conflicts. Research by Joseph Pacelli shows what can happen to eager investors who follow them.

finance thesis topics 2020

  • 31 Mar 2023

Can a ‘Basic Bundle’ of Health Insurance Cure Coverage Gaps and Spur Innovation?

One in 10 people in America lack health insurance, resulting in $40 billion of care that goes unpaid each year. Amitabh Chandra and colleagues say ensuring basic coverage for all residents, as other wealthy nations do, could address the most acute needs and unlock efficiency.

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UKnowledge > Gatton College of Business and Economics > Finance & Quantitative Methods > Theses & Dissertations

Theses and Dissertations--Finance and Quantitative Methods

Theses/dissertations from 2024 2024.

Essays on Corporate Debt Structure , Kyuyoung Oh

Theses/Dissertations from 2023 2023

Essays in Household Finance , Morteza Momeni

Essays on Race and Finance , Tian Qiu

Theses/Dissertations from 2020 2020

Essays on Financial Institutions and Advisors , Joseph D. Farizo

Essays on Corporate Finance and Institutional Investors , Ang Li

Theses/Dissertations from 2019 2019

ESSAYS ON INVESTMENTS , Michael Farrell

ESSAYS ON EXTERNAL FORCES IN CAPITAL MARKETS , Marcus Painter

ESSAYS ON FINANCIAL INCENTIVES , Tyson D. Van Alfen

Theses/Dissertations from 2018 2018

ESSAYS ON HEDGE FUND TRADING AND PERFORMANCE , Qiping Huang

ESSAYS ON SHARE REPURCHASES , David Moore

Theses/Dissertations from 2016 2016

Brokers and Investment Advisors , Nathaniel Phillip Graham

Theses/Dissertations from 2015 2015

TWO ESSAYS ON CORPORATE FINANCE , Soohyung Kim

Theses/Dissertations from 2014 2014

THREE ESSAYS ON INVESTMENTS , Xin Hong

TWO ESSAYS ON NONBANK FINANCIAL INSTITUTIONS , Di Kang

Developing a Method for Measuring "Working Out Loud" , Dennis E. Pearce

Two Essays on the Low Volatility Anomaly , Timothy B. Riley

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Top 140 Finance Research Paper Topics

finance 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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We are very happy that you want to write your bachelor or master thesis at our institute. On this page, you may find all relevant information regarding the thesis topics and registration. 

Bachelor Theses

Centralized application procedure.

All students, who want to write their bachelor theses in economics and management, have to use the centralized application procedure, offered by the dean’s office. The procedure is usually taking place in the beginning of each year. More informations can be found on the faculty’s website.

After beeing allocated to our institute

If you have been assigned to our institute as part of the central application process, you can select a bachelor's thesis topic and set the registration date.

An overview of possible bachelor thesis topics can be found below. You can generally choose between an empirical or theoretical bachelor thesis. The empirical bachelor's theses are based on simple applied scientific work on monetary policy topics and include, for example, a correlation analysis or a simple regression analysis. In principle, the higher standards for empirical work are also taken positively into account  in the evaluation.

We strongly recommend taking a seminar at the Institute for Money and International Finance before working on your bachelor's thesis. The seminars are offered every semester and enable in every study:

  • to familiarize yourself with possible topics in the field of money and international finance and the associated academic literature,
  • to practice academic writing, as it used at the Institute for Money and International Finance.

We also recommend taking the “Programming for Finance” course at the Institute for Finance and Commodity Markets to work on an empirical bachelor’s thesis. In this course you can familiarize yourself with initial data work and the R software.

To register for your bachelor's thesis (topic selection and registration time), please use the contact form below and send it at least 14 days before the deadline of your work begin. Here you can enter two topic preferences. We will contact you with enough distance to your official registration date with the official registration.

When you have completed your work, please send it in digital form to [email protected] and submit a double-sided, single-stapled paper version of the work to us. You can either hand this in on Wednesdays at the institute or at any time to the Conti Campus gatekeeper and ask that you put it in the mailbox of Prof Dräger/Institute for Monetary and International Finance.

Possible registration points for your bachelor thesis

March 1st, April 15th and June 1st

September 1st, October 15th and November 1st

Topics regarding International financial markets

Jauch, S.; Watzka, S. (2012): The Effect of Household Debt on Aggregate Demand - The Case of Spain. CESifo Working Paper No: 3924, Link .

Data: Eurostat, IMF, BIS

Lane, P.; McQuade, P. (2014): Domestic Credit Growth and International Capital Flows. Scandinavian Journal of Economics 116(1), 218-252, Link .

Data: IMF, BIS

Hobza, A., Zeugner, S. (2014): Current accounts and financial flows in the euro area. Journal of International Money and Finance 48, 291-313, Link .

Borio, C., Disyatat, P. (2011): Global imbalances and the financial crisis: Link or no link? BIS Working Paper No 346, Link .

Lane, P; Milesi-Ferretti, G. (2018): The External Wealth of Nations Revisited: International Financial Integration in the Aftermath of the Global Financial Crisis. IMF Economic Review, 66(1), 189-222, Link .

Topics regarding macroeconomic expectations

Das, S., Kuhnen, C. M., und Nagel, S. (2020): Socioeconomic Status and Macroeconomic Expectations. The Review of Financial Studies, 33(1), 395–432, Link .

D’Acunto, F., Malmendier, U. und Weber, M., 2022. What do the data tell us about inflation expectations? NBER Working Paper No. 29825, Link .

Data: University of Michigan Survey of Consumers, ECB Consumer Expectations Survey, NYFed Survey of Consumer Expectations

Bachmann, Rüdiger, Tim O. Berg, and Eric R. Sims (2015): Inflation Expectations and Readiness to Spend: Cross-Sectional Evidence. American Economic Journal: Economic Policy 7(1), 1–35, Link .

Dräger, L. und Nghiem, G. (2021): Are Consumers‘ Spending Decisions in Line with a Euler Equation? The Review of Economics and Statistics, 103 (3), 580–596, Link .

Sheen, J. und Wang, B. (2023): Do monetary condition news at the zero lower bound influence households’ expectations and readiness to spend? European Economic Review, 152, 104345, Link .

Data: University of Michigan Survey of Consumers

Oinonen, S., und Paloviita, M. (2017): How Informative are Aggregated Inflation Expectations? Evidence from the ECB Survey of Professional Forecasters. Journal of Business Cycle Research, 13, 139–163, Link .

Data: ECB Survey of Professional Forecasters, US Survey of Professional Forecasters (Philadelphia Fed)

Coibion, O.; Georgarakos, D., Gorodnichenko, Y., Kenny, G. and Weber, M. (2024): The Effect of Macroeconomic Uncertainty on Household Spending. American Economic Review, 114(3), 645-677, Link .

Dräger, L. und Lamla, M. (2016): Explaining Disagreement on Interest Rates in a Taylor-Rule Setting. The Scandinavian Journal of Economics, 119(4), 987-1009, Link .

Gürkaynak, R., Levin A. und Swanson, E. (2010): Does inflation targeting anchor long-run inflation expectations? Evidence from long-term bond yields in the U.S., U.K. and Sweden. Journal of the European Economic Association, 8(6), 1208-1242, Link .

Kumar, S., Coibion, O., Afrouzi, H. und Gorodnichenko, Y. (2015): Inflation Targeting Does Not Anchor Inflation Expectations: Evidence from Firms in New Zealand. Brookings Papers on Economic Activity, Fall 2015, 151-208, Link .

Dräger, L. und Lamla, M. (2018): Is the Anchoring of Consumers’ Inflation Expectations Shaped by Experience? CESifo Working Paper No. 7042, Link .

Data: University of Michigan Survey of Consumers, NYFed Survey of Consumer Expectations, Federal Reserve Economic Database (FRED)

Coibion, O. und Gorodnichenko Y. (2015): Is the Phillips curve alive and well after all? Inflation expectations and the missing disinflation. American Economic Journal: Macroeconomics, 7(1), 197-232, Link .

Dräger, L.; Lamla, M.J. und Pfajfar, D. (2016): Are Survey Expectations Theory-Consistent? The Role of Central Bank Communication and News. European Economic Review, 85, 84-111, Link .

Carvalho, C. und Nechio, F. (2014): Do people understand monetary policy? Journal of Monetary Economics, 66, 108-123, Link .

Coibion, O. und Gorodnichenko, Y., 2012. What Can Survey Forecasts Tell Us about Information Rigidities? Journal of Political Economy, 120(1), 116-159, Link .

Coibion, O. und Gorodnichenko, Y., 2015. Information Rigidity and the Expectations Formation Process: A Simple Framework and New Facts. American Economic Review, 105(8), 2644-78, Link .

Malmendier, U. und Nagel, S., 2016. Learning from inflation experiences. Quarterly Journal of Economics, 131(1), 53-87, Link .

Ma ć kowiak, B.; Mat ě jka, F. und Wiederholt, M. (2023): Rational Inattention: A Review. Journal of Economic Literature, 61(1), 226-273, Link .

Topics regarding macroeconomic effects of monetary policy

Albanesi, S. (2007): Inflation and inequality. Journal of Monetary Economics, 54(4), 1088-1114, Link .

Data: Deininger, K., Squire, L., 1996. A new data set measuring income inequality. World Bank Economic Review 10, 565–591 (Gini Koeffizient für Einkommensungleichheit)  und OECD, World Bank, IMF (Inflation)

Coibion, O., Gorod nichenko, Y., Kueng, L. und Silvia, John (2017): Innocent Bystanders? Monetary policy and inequality .  Journal of Monetary Economics , 88(C), 70-89, Link .

Data: Consumer Expenditure Survey (CEX), geldpolitische Schocks von Romer und Romer (2004), upgedated von Wieland und Yang (2020), Link .

Roubini, N., 2006. Why Central Banks Should Burst Bubbles. International Finance, 9(1), 87-107, Link .

Posen, A. S., 2006. Why Central Banks Should Not Burst Bubbles, Commentary. International Finance, 9(1), 109-124, Link .

Schularick, M.; ter Steege, L. und Ward, F. (2021): Leaning a gainst the Wind and Crisis Risk. American Economic Review: Insights, 3(2), 199-214, Link .

Gambacorta, L. und Signoretti, F. M. (2014): Should monetary policy lean against the wind?: An analysis based on a DSGE model with banking, Journal of Economic Dynamics and Control,43, 146-174, Link .

Davis, E. P. and Karim, D., 2010. Macroprudential Regulation – the Missing Policy Pillar. National Institute Economic Review, 211 , R3-R16, Link .

Aikman, D.; Bridges, J.; Kasjyap, A. und Siegert, C. (2019): Would M a croprudential Regulation Have Pre vented the Last Crisis? Journal of Economic Perspectives, 33(1), 107-130, Link .

Agénor, P.-R. und Pereira da Silva, L. A. (2014): Macroprudential regulation and the monetary transmission mechanism, Journal of Financial Stability, 13, 44-63, Link .

Topics regarding financial crises

Reinhart, C. M. und Rogoff, K. S. (2011): From Financial Crash to Debt Crisis. American Economic Review, 101, 1676-1706, Link .

Reinhart, C. M. and Rogoff, K. S. (2009): This Time is Different – Eight Centuries of Financial Folly, Princeton University Press, Link .

Daten: Link

Gambacorta, L.; Hofmann, B. und Peersman, G. (2014): The effectiveness of unconventional monetary policy at the zero lower bound: A cross-country analysis. Journal of Money, Credit and Banking, 46(4), 615-642, Link .

Joyce, M.; Miles, D.; Scott, A. und Vayanos, D. (2012): Quantitative easing and unconventional monetary policy – an introduction. The Economic Journal, 122(564), F271-F288, Link .

Bernanke, B. S. (2020):  The New Tools of Monetary Policy, American Economic Journal, 110(4), 943-983, Link .

Claeys, G. und Leandro, Á. (2016): The European Central Bank's quantitative easing programme: Limits and risks. Bruegel Policy Contribution, 4, Link .

Kuttner, K. N. (2018): Outside of the Box: Unconventional Monetary Policy in the Great Recession and Beyond. Journal of Economic Perspectives 32 (4), 121-146, Link .

Woodford, M. (2016): Quantitative easing and financial stability, NBER Working Paper Nr. 22285, Link .

Master Theses

Topics for your master thesis are not offered in advance, but have to be suggested by the students and developed in cooperation with Prof. Dr. Dräger or the employees of the institute. In general, we only support empirical master theses in the context of money and international finance.

If you want to write your master thesis at the Institute of Money and International Finance, please send a short E-Mail to Prof. Dr. Dräger, which includes your prefered starting date and topic suggestion. Alternatively, you can visit the office hour as well.

Contact for general questions regarding theses

finance thesis topics 2020

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finance thesis topics 2020

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Top 100 Finance Dissertation Topics Trending in the Year 2021

  • July 28, 2021 July 28, 2021

There is a popular saying, “money is not everything, but everything needs money…”, and it totally vindicates the relevance of the course that we are discussing here. The concept of financial management is universal, and it is bound to touch nearly all the corners of the globe where the practice of currency exchange exists. Financial management primarily refers to the strategic organizing, planning, directing, and controlling of all kinds of financial undertakings within an enterprise or an organization. It also incorporates the application of the management principles to the fiscal assets of an organization.  

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Finance Assignment Help

  • Dissertation Topics on Covid-19 and its Impact on Financial Services
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  • Is there a need for better insurance policy for the financial companies post Covid-19?
  • Dissertation Topics on Cryptocurrency
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  • The role of auditors in the field of financial reporting: An Enron and WorldCom case study
  • Auditors are the risk managers or cost centers for the bank: Discuss
  • Sarbanes-Oxley Act and its impact on Auditor-client association in the UK
  • Dissertation Topics on Risk Management: Capital, Liquidity, ALM, Models
  • Financial crisis in the UK banking industry and liquidity risk management
  • Risk management in the international banking functions in Europe: Its nature, scope and assessment
  • Foreign exchange risk management within the financial institutions
  • An evaluation of the credit risk management of the financial institutions
  • How the provisions related to IFRS9 offer cushions to the financial service industry?
  • Dissertation Topics on Internet Banking and Digital Journey for Banks
  • The security challenges related to electronic banking transactions
  • Can digitization be considered as a disruptive step towards banking sector?
  • Will there be sustainability to Fintechs in the long run?
  • What are the best security practices for the online transactions?
  • Utility of Internet banking: Youth vs Elderly population
  • Dissertation Topics on Ethics in Accounting
  • Dilemma for the accountants: Ethics or profit?
  • Rhetoric of rationality and the audit risk
  • Does the accounting for a brand really matter?
  • The independence of an auditor: Perception or reality?
  • Transfer pricing and tax evasion: Teaching ethics to the accounting students of university
  • Dissertation Topics on Microfinance
  • The impact of microfinance on the SME sector
  • The growth of microfinance in South Asia over a period of time
  • The impact of microfinance in alleviating poverty and boosting economic growth in Bangladesh: A case study
  • What are the determinant factors leading to the success of the institutions of microfinance?
  • How the concept of microfinance is empowering women across the world?
  • Dissertation Topics on Retail and Commercial Banking
  • How the local commercial banks in Europe changed their practices over a period of time?
  • The evolution of retail banking in India
  • How the consumer demand is changing the preferences and strategies of SMEs in the US?
  • Inventory management for mobile banking: A case study of the developing nations
  • What is the relationship between price, equity, and performance in the banking industry?
  • Dissertation Topics on Financing in Emerging Market
  • FDI strategies in Asia and Europe: A comparative study
  • What is the link between economic growth and population: A case study of China
  • The evolution and the current state of investment banking in the emerging markets
  • What are the challenges faced by the financial institutions in an emerging economy?
  • The perception and attitude of the investors from a developed country towards the investment opportunities in the emerging markets
  • Dissertation Topics on Alternative Investment
  • Hedge funds: An alternative investment option for the institutional investors
  • Private equity market and its different types of investors
  • Investment diversification through alternative investment vehicles
  • The timeline of mutual funds and their growing popularity
  • Hedge funds: Risk diversifiers, return enhancers or both?
  • Miscellaneous Finance Dissertation Topics on International Affairs
  • Investing in the energy sector of Russia: The bulwarks and opportunities
  • Foreign investment and its impact on the economic growth of Zambia
  • The theory of cognitive moral development and the moral maturity of finance professionals
  • Do microfinance companies really come to the aid of the poorest of the poor?
  • The economic reforms in Saudi Arabia and its direct influence on the foreign direct investment
  • Financial advancements in Europe and Asia: A comparative study
  • What are the negative influences of microfinance in the developing economies?
  • The merits and demerits of aggressive economic policies of China
  • The restructuring of banking sector in Brazil: A case study
  • The future of mutual funds in emerging economies
  • An assessment of the financial crisis 2007-08: Could it have been eschewed?
  • The merits and demerits of private equity investment in European Union post Brexit
  • Can cryptocurrency actually have the capacity to demonetize the world?
  • What is the future of banking system innovation in the United States?
  • Digital banking issues faced by the elderly and the optimal measures to resolve them
  • Do financial institutions somehow finance terrorism unknowingly?
  • Forecasting the next catastrophe of financial crisis: Could 2021 turn out to be the year?
  • Are the profits made by financial institutions unethical? If yes, why?
  • How Brexit impacted the ability of the banks in the UK to hire talented specialists?
  • What do you mean by the balanced scorecard? Why is it so significant to the legal firms?
  • What are the modern accounting standards? Do they actually live up to the expectations of the regulator?
  • The accounting education programs in the US and the UK: A comparative study
  • An assessment of the top 3 CSR issues in the modern banking systems
  • Here is how the Internet banking would look like in the next 10 years
  • An assessment of the trade blocks (BRIC) and their influence on the banking sector
  • PATRIOT Act of the United States and its impact on the international banking
  • How significant is the flow of credit to an agronomic industry?
  • The 5 ways through which the IT has transformed the financial sector
  • An essay on the 5 most significant traits of a highly successful microfinance institution
  • IFRS and its implementation in the UK: The concerns and the reactions
  • Is there a connection between corporate strategy and capital structure?
  • Debt trap policy of China: Is it a conventionally practiced policy of Eco-terrorism or a new one?
  • Discuss the real estate industry of China from the viewpoint of a banker
  • Which banks are conventionally more profitable, the domestic or the foreign ones?
  • The effective management of cash flow at Groupe Societe Generale
  • An assessment of the financial statements of MasterCard and VISA
  • The culture of cooperation and opportunism in the venture capital financed companies
  • The gender and the development happening through western eyes: An evaluation of microfinance as the solution of the west to poverty, third world women and neoliberalism
  • A multi-factor form quadratic stochastic volatility model and its implementation in insurance and finance
  • A quantitative study of innovation-driven investment and its performance management on corporate fiscal returns
  • American venture capitalism in the Post-American world: A case study
  • Exploring the opportunities other than oil in Saudi Arabia and the UAE for foreign direct investment (FDI)
  • Asset levels of the service based decision support systems for infrastructure investment in Singapore
  • Bulwarks to investment and credit to the minority business entrepreneurs: An investigation of the Rockford, IL, metropolitan statistical area
  • Economic growth through foreign direct investment: The case study of Nigeria
  • Increasing the values of a firm through the derivatives for hedging
  • Why the real estate sector in Dubai undergoing financial crisis?
  • The connection between the sentiment of investor and stock volatility: A case study of the USA and China
  • How the awareness and influence of financial services to the low income group endorsed the economy of Malaysia?

    100. The impact of firm characteristics on the capital structures of SMEs: A Hong Kong case study

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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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Humboldt-Universität zu Berlin - Finance Group

Writing a master thesis in corporate finance.

Students who would like to write a Master thesis in the area of Corporate Finance must have completed the Financial Economics concentration, and attend either the Hauptseminar Corporate Finance or Financial Economics. In addition it is recommended that students take Advanced Corporate Finance, the Case Seminar Corporate Finance, and Private Equity. The purpose of the Hauptseminar is to introduce students to scientific writing, and the requirements for writing a Master thesis in Corporate Finance.

To complete the Master program in four semesters we recommend the following semester plan.

 

All thesis topics will be in the area of corporate finance, and most theses will be of an empirical nature. Therefore, good econometric skills are essential. The course Econometric Methods, offered by Prof. Hautsch in the WS, is highly recommended. Familiarity with statistical software, such as Stata or SAS, is also important. Since the most relevant literature is in English, it is recommended to write the Diplom or Master thesis also in English, but this is not a necessity.

If you are interested in writing a Master thesis in the area of Corporate Finance contact Prof. Adam or one of his assistants to discuss a suitable thesis topic and expected completion time. Currently we offer theses topics in the following areas:

  • Corporate Risk Management
  • Mutual Funds
  • Behavioral Corporate Finance
  • Syndicated Loans
  • Credit Rating Agencies
  • Financial Regulation

You should budget at least six months for completing your thesis. It is also possible and encouraged to write a thesis jointly with another fellow student. This is not only more fun than writing by yourself but you can also benefit from economies of scale.

After obtaining a topic the next step is to write and orally defend a research proposal. During the defense you should explain why your topic is important, what new insights could potentially be gained from your thesis, and discuss your research methodology. It is important to demonstrate the feasibility of your project. After a successful defense you can submit the form „Anmeldung zur Masterarbeit“ to the institute’s secretary, Mrs. Bulwahn, and begin writing your thesis. Interim results should be presented at least once.

Master theses must be submitted in bound format (2 copies) by the due date to the Prüfungsamt. Each Master thesis must include a DVD containing the thesis, all data used, computer programs, and all references. Further information about how to write a thesis can be found here .

Exceptional Master theses will be nominated for the David-Kopf Hochschulpreis. See www.david-kopf.com for details.

In addition, you can participate in the following Master theses competitions:

  • International Competition of Master Degree Thesis on Economics and Finance

Past Master and Diplom Theses

  • Financial Risk Management Strategies of German Corporations
  • Auswirkungen der Finanzkrise 2007/08 auf den deutschen Primärmarkt für Konsortialkredite
  • Are real options priced by the market? Theory and Evidence from the Gold Mining Industry
  • Estimating the Probabilitiy of Bankruptcy of Non-Financial Firms
  • The Gold Lease Market
  • Corporate Risk Management and Executive Compensation
  • A Comparison of Risk Management Strategies in the Gold Mining Industry
  • The Effects of the Introduction of the Euro on Corporate Financing Strategies and Corporate Investment
  • The Value of Corporate Cash Holdings during Financial Crises
  • The Syndication of Venture Capital Investments

Regeln der Prüfungsordnung für Abschlussarbeiten:

  • Eine Abschlussarbeit muss im Prüfungsbüro angemeldet werden. Das vorgesehene Formular wird im Prüfungs- bzw. Studienbüro ausgegeben. Dabei werden auch die Zulassungsvoraussetzungen zur Abschlussarbeit geprüft.
  • Die festgelegte Zeitbefristung beginnt mit dem Tag nach der Themenvergabe. Sie gilt ausnahmslos für alle Studierende. Ausnahmen kann ausschließlich der Prüfungsausschuss genehmigen. Dafür müssen triftige Gründe nachgewiesen werden.
  • Der Prüfer muss das Thema und den Zeitpunkt der Ausgabe mittels des Anmeldeformulars aktenkundig machen. Nach der Themenvergabe muss es unverzüglich an das Prüfungsbüro weitergeleitet werden. Die Studierenden erhalten nach Eingang der Anmeldung vom Studien- bzw. Prüfungsbüro eine Kopie der Anmeldung.
  • Die Einhaltung oder Überschreitung der Abgabefrist wird durch die direkte Einreichung der Arbeit beim Prüfungsbüro festgestellt und aktenkundig gemacht.

Rules from the examination order concerning the graduation theses:

  • A thesis needs to be registered at the examination office. The corresponding form is available at the examination office or the study office. The preliminaries for a thesis will also be examined there.
  • The administered deadline starts the day after the announcement of the thesis topic. It applies to all students without exceptions. Any exceptions can only be granted by the examination board. An exception requires grave reasons and proof.
  • The examiner needs to register the topic and the deadline via the application form. After announcement of the topic it needs to be transferred to the examination office without delay. The students will receive a copy of the application form after the entry at the examination office or the study office.
  • The compliance with or exceedance of the deadline will be determined through direct deliverance of the thesis at the examination office and registered officially.

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BEST FINANCE THESIS TOPICS IDEAS WITH EXAMPLE FOR STUDENTS

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  • How do microfinance companies help the poor?
  • The reason behind the popularity of mutual funds in the financial market.
  • How is relationship banking important?
  • Is the world ready to transform into demonetization through cryptocurrency?
  • The debate between banking profits being ethical or unethical.
  • The responsibility of the cooperative sector in the banking industry.
  • What will be the future of internet banking in the coming advanced years?
  • Do the banks still need current supervision or not?
  • The role of microfinance in empowering the women across the globe.
  • The smarter way of analyzing the statement of VISA and MasterCard.
  • Which banks can give you more profits? The foreign or the domestic ones.
  • The relationship between capital structure and corporate strategy.
  • How the cash flow is managed by the Group Societe generate?
  • Top common signs of a successful microfinance institutions.
  • How IT has transformed and beneficially enhanced the banking industry?
  • Poverty alleviation and micro-financing; What bond do they have?
  • What effects does the agronomic industry have on credit flow?
  • The comparison of the UK and the US’s educational programs in finance
  • What are a trade block and its effect on the banking sector?
  • The effects of financial crises on the real state of a country.
  • What is the outcome expected from the management audit?
  • How the economic growth will witness a change in foreign direct investment?
  • The opposition to digital banking fiercely.
  • What are the innovations in the banking systems in the current digital age?
  • What is the financial risk that a business might face due to the modern business environment?
  • How do the capital financed companies make the use of cooperation and opportunism?
  • Is there any chance that the financial institutions financed terrorism not knowingly?
  • How the elderly people face problems handling digital banking and financing systems?
  • What are the best practices that should be adopted for safe and secure inline banking and online transactions?
  • The risking factors and further advantages of the portfolio maximization.

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  1. 200 Outstanding Finance Dissertation Topics for Students

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  2. 10 Best Corporate Finance Dissertation Topics

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  3. 200 Outstanding Finance Dissertation Topics for Students

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  4. Corporate Finance Thesis Topics

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  5. A Definitive List of 100 Bachelor Thesis Topics

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  6. 200 Outstanding Finance Dissertation Topics for Students

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  1. 600 Accounting and Finance Thesis Topics

    600 Accounting and Finance Thesis Topics. Embarking on a thesis in accounting and finance is a pivotal step in a student's academic journey. This section provides a comprehensive list of accounting and finance thesis topics, each tailored to reflect the most current issues and anticipate future directions in the field.

  2. 120+ Research Topics In Finance (+ Free Webinar)

    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…

  3. Finance Theses and Dissertations

    Theses/Dissertations from 2014. Essays on Corporate Finance, Hari Prasad Adhikari. Two Essays on Individuals, Information, and Asset Prices, Joseph Mohr. Two Essays on Investment, Bin Wang. Two Essays on Corporate Finance, Qiancheng Zheng.

  4. 200 World-Class Finance Dissertation Topics in 2023

    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.

  5. 50+ Best Finance Dissertation Topics For Research Students

    Opting for relevant finance thesis topics ensures that your research contributes to the existing body of knowledge and addresses contemporary issues in finance. Choosing a dissertation topic relevant to the industry can make a meaningful impact and advance understanding in your chosen area. 2. Personal Interest.

  6. PDF Essays in Banking and Corporate Finance

    Dissertation Advisors: Professor Jeremy Stein Professor Josh Lerner Author: Andrea Passalacqua Essays in Banking and Corporate Finance Abstract This dissertation studies the role of different types of frictions in preventing optimal resource allocation in the economy. In chapter 1, I focus on financial frictions and consider

  7. Finance & Accounting Dissertation Topics

    More Finance and Accounting Dissertation Topics. Topic 1: AUDITOR'S job with the clients and third-party. Topic 2: Relationship between the Earning Management and Discretionary Accruals. Topic 3: Interaction of Corporate Disclosure and Governance.

  8. PDF Finance: Selected Doctoral Theses

    Finance: Selected Doctoral Theses . TITLE: "Essays in Financial Economics" - Fangzhou Lu (2020) COMMITTEE: Jonathan Parker (chair), Antoinette Schoar, Jennifer Carpenter, Robert Whitelaw . ABSTRACT: This dissertation consists of three chapters. In Chapter 1, I document that there is a high

  9. 233 Finance Dissertation Topics: Useful List To Inspire You

    You can consider finance research paper topics like: A critical study of foreign investment and the trend of economic growth in Ghana. A study of the economy of China and Russia in the last 10 years. The trends in the international economic systems. The politics of international economy and how policies have political undertones.

  10. Thesis Topics

    General Area of Thesis Supervision: Empirical Finance, ... Risk Management, Parameter and Model Uncertainty, Forecasting Open Topics: Seminars (e.g. Seminar in finance) COVID-19 and impacts on financial markets ... A. Dominik Kaiser, best Master Thesis in Finance 2020) Changes in Investor Attention and the Cross-Section of Stock Returns ...

  11. 70 Successful Accounting Thesis Topics for Students

    Here are some good examples of accounting research topics ideas. Accounting origin. The Ethics of Accounting and Its Relevance in The Society. Company structure influence on Accounting. Information Systems For Accounting. Accounting and Taxes. Accounting as Relates to Personal Finance. Profit Management.

  12. PDF Peng, Hao (2020) Shadow banking and corporate finance. PhD thesis

    The second study investigates the impact of the presence of finance companies on firms' cash policy. Finance company is essential a shadow bank involving credit and maturity transformation affiliated in a business group. We find a cash hoarding behavior after firms having access to finance companies. This result is consistent with

  13. Finance Articles, Research Topics, & Case Studies

    New research on finance from Harvard Business School faculty on issues and topics including corporate investment, governance, and accounting management. ... In 2020, AmerisourceBergen Corporation, a Fortune 50 company in the drug distribution industry, agreed to settle thousands of lawsuits filed nationwide against the company for its opioid ...

  14. Theses and Dissertations--Finance and Quantitative Methods

    Essays in Household Finance, Morteza Momeni. PDF. Essays on Race and Finance, Tian Qiu. Theses/Dissertations from 2020 PDF. Essays on Financial Institutions and Advisors, Joseph D. Farizo. PDF. Essays on Corporate Finance and Institutional Investors, Ang Li. Theses/Dissertations from 2019 PDF. ESSAYS ON INVESTMENTS, Michael Farrell. PDF

  15. 140+ Best Finance Research Paper Topics For Students

    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 ...

  16. PDF Finance: Selected Doctoral Theses

    Author: Fangzhou Lu (2020) Committee: Jonathan Parker (chair), Antoinette Schoar, Jennifer Carpenter, Robert Whitelaw Abstract: This dissertation consists of three chapters. In Chapter 1, I document that there is a high correlation between the returns of cryptocurrencies and those of utility tokens, which are claims to products and services

  17. PDF MBA Master's Thesis The Emergence of Green Bonds as Innovative

    MBA Master's Thesis The Emergence of Green Bonds as Innovative Financial Instruments: A Bibliometrics Analysis from 2008 to 2020 Munich Business School Working Paper 2021-04 Nicolas Penuela, MBA Email: [email protected] Munich Business School Working Paper Series, ISSN 2367-3869

  18. Theses

    The empirical bachelor's theses are based on simple applied scientific work on monetary policy topics and include, for example, a correlation analysis or a simple regression analysis. In principle, the higher standards for empirical work are also taken positively into account in the evaluation. We strongly recommend taking a seminar at the ...

  19. PDF Topics for Bachelor/Master Theses

    In 2020, approximately 17.1 trillion USD of US assets under management were characterized as socially responsible an increase of 42 percent - compared to 2018 (US SIF, 2020). Examining this shift in investment preference, one strand of re-search in the stainable Su Finance literature focuses on the investor perspective and investigates

  20. Top 100 Finance Dissertation Topics Trending in the Year 2021

    Miscellaneous Finance Dissertation Topics on International Affairs. Investing in the energy sector of Russia: The bulwarks and opportunities. Foreign investment and its impact on the economic growth of Zambia. The theory of cognitive moral development and the moral maturity of finance professionals.

  21. Thesis titles

    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

  22. Writing a Master Thesis in Corporate Finance

    Since the. most relevant literature is in English, it is recommended to write the Diplom or Master. thesis also in English, but this is not a necessity. If you are interested in writing a Master thesis in the area of Corporate Finance contact. Prof. Adam or one of his assistants to discuss a suitable thesis topic and expected.

  23. Best Finance Thesis Topics for Students Consider in 2022

    Get the best fiances thesis topics from us! Don't scratch your head due to too much burden! We have a complete package of the best services for you. When coming to us, you don't need to worry about anything with your topic. When we offer our services to you, we take complete guarantee on providing you with the best product. Authenticated ...

  24. Patrons Speak Out: The Impact of Losing Access to More Than 500,000

    Andrew M., Easton, CT, USA: Prior to the removal of books on the IA I was able to access works on niche topics like La Terra in Piazza (1984) to review and promote reading about all sorts of interesting things to a wider audience. Since the removal, I've already struggled to finance a project translating a book on the causes of the fall of ...