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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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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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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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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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50 Best Finance Dissertation Topics For Research Students 2024

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50 Best Finance Dissertation Topics For Research Students 2024

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 blog, we're 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. Whether you're captivated by cryptocurrency, risk management strategies, or exploring the wonders of Internet banking, microfinance, retail and commercial banking - 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, or you may end up finding it more challenging to write. 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 the field of Finance. Choosing a dissertation topic in Finance that is 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. It can enhance your employability by showcasing your expertise in a specific finance area. It may 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

A lot of planning, formatting, and structuring goes into writing a dissertation. It starts with deciding on topics for a dissertation in Finance and conducting tons of research, deciding on methods, and so on. However, you can navigate the process more effectively with proper planning and organisation. 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

Choosing Finance research topics within the given timeframe and resources is important. Select a research area that interests you and aligns with your career goals. It 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, gaining 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 analyze relevant data to support your findings. It may involve conducting surveys, interviews, experiments, and analyzing 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 organization 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. Analyzing 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.

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. Analyzing 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. Analyzing 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. Analyzing 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. Analyzing 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 Globalized 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.

Tips To Find Good Finance Dissertation Topics 

Embarking on a financial dissertation 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. Finding a good financial dissertation topic is essential to blend your interests with the current trends in the financial landscape. 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. Practical applicability

4. Consult with advisors

5. Ethical considerations

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

Frequently Asked Questions

Where can i find dissertation topics in finance, how do i choose the right topics for my dissertation in finance, what makes a good finance dissertation topic, is a dissertation compulsory for an mba, what are the best research topics in finance.

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thesis topics financial markets

Dissertation Topics In Financial Markets: 20 Best Suggestions

To get a degree in finance, you’ll have to compose and defend a dissertation on a relevant topic. You may choose financial markets as a general area of your research. However, you’ll need to narrow down this topic in order to conduct a meaningful study. If you cannot generate a good idea for your paper, you may get inspiration by looking at a list of excellent sample topics.

Topics for a Dissertation on Financial Markets

  • The analysis of risks that are run by financial markets.
  • The features of financial markets in China.
  • Financial markets and their economics.
  • The impact of fraud in financial markets on the government actions.
  • The high-frequency trading system and its effect on financial markets.
  • Financial markets of Wall Street.
  • The influence of the strong economy on financial markets.
  • Capital markets and the government.
  • The benefits of stock markets for investors.
  • Bond markets and the main categories of bonds.
  • The role of money markets in the financial system.
  • The features of spot markets.
  • Derivatives markets and private investing.
  • The study of the foreign exchange interbank market.
  • Primary markets and secondary markets.
  • The role of over-the-counter markets.
  • The significance of third and fourth markets.
  • Emerging markets and the IMF.
  • The influence of Greece on the European financial markets.
  • The connection between bull markets and stock valuations.

Chapters to Include in Your Dissertation

No matter the topic, your paper should have a particular structure. If your paper meets the standards of academic writing, it’ll be more understandable for your audience. Here are the chapters that you should compose:

  • Introduction.

In this chapter, you need to present the background of your topic and explain the goals of your research.

  • Literature review.

Here, you should provide thorough information about the main sources that you’ve consulted conducting your study.

  • Methodology.

This is the part where you should describe each action that you’ve performed to achieve your results.

  • Data presentation.

In this section, you should present your outcomes and discuss their significance to the development of the field.

  • Conclusion.

Here, you should remind the reader about all the main points of your dissertation and offer ways for further studies.

Also, you’ll need to have a bibliography and other additional sections in your paper. To learn in what style to format your paper, look into your assignment guidelines. There, you should find all the details about the font size, title page, headers, and so on.

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Thesis Topics for Financial Management: A Comprehensive Guide

Thesis Topics for Financial Management: A Comprehensive Guide

Welcome to the ultimate guide to thesis topics for financial management. Whether you’re a finance student seeking inspiration or a researcher delving into unexplored financial territories, this article will provide a comprehensive roadmap to help you navigate the complexities of financial management and identify captivating thesis topics that will leave a lasting impact.

thesis topics for financial management

Key Takeaways:

Financial management thesis topics can explore areas such as capital management, investment choices, employee salary plans, stock market intermediaries, and the impact of fintech.

Examine the relationship between valuation and financial decisions in strategic financial management.

Investigate financial management practices in government budgeting and healthcare organizations.

Explore personal financial management, financial literacy, and financial management challenges in project costs and finance.

Analyze principles for managing financial operation exposure.

Additional resources for finance thesis topic ideas can be found at 1233 Finance Dissertation Topics: Useful List To Inspire You and Finance Dissertation Topic Ideas .

Table of Contents

Thesis Topics for Financial Management

Navigating the dynamic and ever-evolving field of financial management requires a thorough understanding of its principles and practices. For those pursuing advanced degrees in finance, selecting a compelling and impactful thesis topic is crucial. This guide provides financial management students with a comprehensive roadmap for identifying, researching, and developing effective thesis topics that align with their academic and career aspirations.

Choosing a Thesis Topic

Identify Your Interests: Begin by reflecting on your academic pursuits, professional goals, and personal interests. Consider areas of financial management that pique your curiosity and align with your long-term objectives.

Conduct Preliminary Research: Explore various aspects of financial management through scholarly articles, textbooks, and industry reports. Identify emerging trends, unanswered questions, and gaps in the existing literature.

Consider Your Resources: Assess the availability of data, literature, and expert guidance related to your potential thesis topics. Ensure that you have the necessary resources to conduct a comprehensive and meaningful research project.

Consult with Faculty: Engage with professors, academic advisors, and industry professionals to gather insights and feedback on potential thesis topics. Their expertise can help you refine your ideas and ensure their relevance and feasibility.

Developing Your Thesis Topic

Narrow Your Focus: Once you have a general topic area, narrow it down to a specific and manageable research question. Your thesis topic should be specific enough to allow for in-depth analysis while remaining broad enough to provide meaningful insights.

Conduct a Literature Review: Review existing literature related to your thesis topic to identify knowledge gaps, inconsistencies, or unexplored perspectives. This will help you position your research within the broader academic context.

Formulate a Research Hypothesis: Develop a clear and testable hypothesis that outlines the relationship between the variables you intend to investigate. Your hypothesis should be specific, measurable, and falsifiable.

Design Your Research Methodology: Choose appropriate research methods and techniques to gather and analyze data. Consider quantitative methods (e.g., surveys, experiments), qualitative methods (e.g., interviews, case studies), or a combination of both.

Writing Your Thesis

Organize Your Content: Outline the structure of your thesis, including an introduction, literature review, methodology, results, discussion, and conclusion. Each section should flow logically from the previous one.

Present Your Findings: Clearly and concisely present your research findings, using tables, graphs, and other visual aids to enhance clarity and comprehension.

Analyze and Interpret Your Results: Discuss the implications of your findings and their relevance to the existing body of knowledge. Identify limitations and suggest areas for future research.

Draw Conclusions: Summarize your key findings and their significance. Provide a clear answer to your research question and highlight the contributions of your research to the field of financial management.

By following these steps and adhering to the principles of academic rigor and intellectual curiosity, you can develop a compelling and impactful thesis topic for financial management . Your research will not only contribute to the advancement of knowledge but also provide valuable insights for practitioners and policymakers, ultimately shaping the future of financial management.

For those working on their financial management thesis, explore our comprehensive list of thesis topics in financial management that will inspire your research and help you excel in your academic endeavors.

MBA students, looking for your next thesis topic? Check out our diverse selection of thesis topics for MBA students to find one that resonates with your interests and aspirations.

Conduct a thorough analysis of the financial landscape in Nepal with our thesis topics for finance in Nepal , providing insightful perspectives on this dynamic sector.

Delve into the dynamic world of finance with our thesis topics for finance , offering a wide range of subjects that will ignite your passion for this ever-evolving field.

Data Collection and Analysis: Methods and Approaches for Financial Management Research

Picture this: you’re standing before a financial puzzle. Data points are the pieces, and your goal is to assemble them into a meaningful picture. How do you proceed? It’s all about choosing the right methods for data collection and analysis —the foundation of any solid financial management research.

  • Qualitative research: Uncover deeper insights by exploring non-numerical data and subjective experiences.
  • Data collection methods: Interviews, focus groups, ethnography, document analysis, and observation are commonly used.
  • Data analysis: Delve into thematic analysis, grounded theory, phenomenology, and discourse analysis for meaningful interpretation.
  • Quantitative research: Harness the power of numerical data to test hypotheses and uncover trends.
  • Data collection methods: Surveys, experiments, content analysis, and econometrics are popular choices.
  • Data analysis: Statistical techniques, regression analysis, and modeling bring clarity to numerical data.
  • Mixed methods: Blend qualitative and quantitative approaches for a comprehensive understanding.
  • Data integration: Combine diverse data sources to paint a complete picture.
  • Ethical considerations: Ensure research integrity, participant confidentiality, and data security.
  • Data visualization: Transform complex data into digestible visuals and graphics.

Qualitative Research: Unveiling Subjective Perspectives

Qualitative research delves into non-numerical data , offering a rich understanding of subjective experiences , beliefs, and attitudes that shape financial behavior. Researchers use this method to explore topics like consumer preferences, market trends, and corporate decision-making.

Common Data Collection Methods:

  • Interviews: Engage in one-on-one conversations to gather detailed insights and personal narratives.
  • Focus Groups: Facilitate group discussions to generate a collective understanding of shared perspectives.
  • Ethnography: Immerse yourself in a specific setting to observe and understand financial practices and behaviors.
  • Document Analysis: Scrutinize financial documents, reports, and other written sources for valuable information.
  • Observation: Directly observe financial activities and interactions to gather real-time data.

Data Analysis Techniques:

  • Thematic Analysis: Identify and extract recurring themes and patterns from the collected data.
  • Grounded Theory: Develop theories based on the data itself, rather than applying pre-existing frameworks.
  • Phenomenology: Aim to understand the subjective experiences and perspectives of individuals related to financial phenomena.
  • Discourse Analysis: Examine how language is used to construct and communicate financial meanings and practices.

Quantitative Research: Unraveling Numerical Patterns

Quantitative research investigates numerical data to test hypotheses , uncover trends, and establish relationships between variables. This method is often used to assess financial performance, analyze market data, and evaluate investment strategies.

  • Surveys: Gather data from a large sample of respondents using standardized questionnaires.
  • Experiments: Conduct controlled experiments to test the effects of specific variables on financial outcomes.
  • Content Analysis: Analyze written or visual material to extract quantitative information.
  • Econometrics: Apply statistical and mathematical models to financial data to identify patterns and relationships.
  • Statistical Techniques: Employ statistical methods like correlation, regression, and analysis of variance to uncover patterns and relationships.
  • Regression Analysis: Investigate the relationship between a dependent variable and one or more independent variables.
  • Modeling: Develop mathematical or computer models to simulate financial systems and forecast outcomes.

Mixed Methods: Blending Qualitative and Quantitative Insights

Mixed methods research combines qualitative and quantitative approaches to gain a comprehensive understanding of a research topic. This approach allows researchers to explore both the subjective experiences and numerical patterns related to financial phenomena.

Key Benefits:

  • Triangulation: Mixed methods provide multiple perspectives, enhancing the validity and reliability of research findings.
  • Complementary Insights: Qualitative data can help interpret and explain quantitative findings, leading to a deeper understanding.
  • Holistic View: Mixed methods offer a comprehensive understanding of complex financial issues.

Data Integration: Unifying Diverse Data Sources

Data integration involves combining data from multiple sources to create a comprehensive dataset. This process enhances the richness and depth of the analysis, allowing researchers to draw more informed conclusions.

Common Data Integration Techniques:

  • Data Warehousing: Store data from various sources in a central repository for easy access and analysis.
  • Data Mining: Extract valuable information and patterns from large datasets using statistical and machine learning techniques.
  • Data Fusion: Combine data from different sources to create a more comprehensive and accurate representation of reality.

Ethical Considerations: Upholding Research Integrity

Ethical considerations are paramount in financial management research. Researchers must ensure the integrity of their research , confidentiality of participants , and security of data . This includes obtaining informed consent, protecting privacy, and adhering to institutional review board guidelines.

Data Visualization: Transforming Data into Insights

Data visualization transforms complex data into digestible visuals and graphics . This makes it easier for researchers and decision-makers to understand patterns, trends , and relationships in the data . Common data visualization techniques include charts, graphs, heat maps, and infographics.

  • Qualitative and Quantitative Methods, Data Collection and Analysis
  • Mixed Methods: A Guidebook for Researchers

Thesis Structure and Organization: Crafting a Coherent and Cohesive Thesis

Navigating the labyrinth of academic research can be daunting, especially when it comes to crafting a thesis that stands out. In the realm of financial management, a well-structured and organized thesis is the cornerstone of a successful research endeavor.

  • Logical Flow: A thesis should have a clear structure that flows logically from one chapter to the next, guiding the reader through your research journey.
  • Introduction: Begin by establishing the context and significance of your research topic, culminating in a concise thesis statement that encapsulates your central argument.
  • Body Chapters: Dedicate separate chapters to distinct aspects of your research, ensuring each chapter delves deeper into a specific facet of your thesis statement.
  • Conclusion: Summarize the key findings of your research, reinforcing the significance of your work and its implications for the field of financial management.

In the realm of financial management, meticulous Thesis Structure and Organization: Crafting a Coherent and Cohesive Thesis is quintessential for a compelling thesis. By adhering to these fundamental principles, you’ll elevate your research to new heights, crafting a thesis that resonates with readers and leaves a lasting impact on the field.

  • Structuring Your Thesis
  • Thesis Statements – The Writing Center

Writing and Presentation: Communicating Your Research Findings Effectively

In the realm of financial management, crafting a captivating thesis requires meticulous attention to detail, a keen eye for relevant topics, and the ability to effectively convey your findings to a diverse audience. The research journey is akin to embarking on an intellectual expedition, where you’ll navigate the financial landscape, uncover hidden gems of knowledge, and weave together a compelling narrative that captivates your readers.

  • Embark on an intellectual journey to select captivating thesis topics in financial management.
  • Delve into quantitative and qualitative research methods to uncover hidden gems of knowledge.
  • Craft a compelling thesis narrative that resonates with your audience.
  • Master the art of presenting your findings with clarity, confidence, and visual appeal.
  • Engage your audience through active participation and thought-provoking discussions.

As you embark on this academic odyssey, let’s explore some strategies for selecting compelling thesis topics in financial management:

Embrace a Broader Perspective: Expand your horizons beyond traditional finance topics. Consider emerging trends, societal issues, and interdisciplinary approaches that intertwine finance with other fields, such as technology, sustainability, and behavioral economics.

Seek Inspiration from Real-World Challenges: Dive into the complexities of the financial world and identify pressing problems or opportunities that demand exploration. Examine financial crises, market anomalies, or corporate scandals, and investigate how financial management practices can mitigate risks and enhance performance.

Tap into Your Passions: Reflect on your personal interests and expertise in financial management. Choose a topic that ignites your intellectual curiosity and allows you to delve deeply into an area that truly fascinates you. Your passion for the subject matter will shine through in your research and captivate your audience.

Conduct Preliminary Research: Before committing to a specific topic, conduct preliminary research to assess its feasibility and relevance. Explore existing literature, consult with faculty advisors, and gather data to determine if your chosen topic offers sufficient depth and breadth for a comprehensive thesis.

Refine Your Topic: Once you’ve selected a promising topic, narrow it down to a specific and manageable scope. A well-defined thesis statement should clearly articulate your research question, objectives, and expected contributions to the field of financial management.

With your thesis topic meticulously chosen, it’s time to delve into the intricacies of quantitative and qualitative research methods, each offering unique tools to uncover the hidden gems of knowledge:

Quantitative Research: Harness the power of data and statistical analysis to uncover patterns, trends, and relationships within financial data. Leverage statistical software, econometric models, and forecasting techniques to extract meaningful insights and test hypotheses.

Qualitative Research: Explore the subjective dimensions of financial phenomena by conducting interviews, focus groups, and case studies. Delve into the perceptions, experiences, and behaviors of individuals and organizations to gain a deeper understanding of complex financial issues.

As you embark on your research journey, remember that the art of presenting your findings is just as crucial as the research itself. Master the skill of crafting a compelling thesis narrative, one that captivates your audience and leaves a lasting impression:

Organize Your Content: Structure your thesis logically and coherently. Introduce your topic, present your research findings, discuss their implications, and conclude with a concise summary. Each section should flow seamlessly into the next, building a cohesive narrative.

Clarity and Conciseness: Strive for clarity and conciseness in your writing. Avoid jargon and technical terms that may alienate your audience. Use simple language that effectively conveys your ideas. Eliminate unnecessary words and phrases to ensure your message is clear and compelling.

Visual Appeal: Incorporate visual aids, such as graphs, charts, and images, to enhance the impact of your findings. Visuals can simplify complex data, illustrate trends, and make your presentation more engaging and memorable.

Engage Your Audience: Encourage active participation and thought-provoking discussions. Pose questions, seek feedback, and invite your audience to share their perspectives. Create an interactive experience that stimulates critical thinking and fosters a deeper understanding of your research.

Remember, the success of your thesis presentation lies not only in the content itself but also in your ability to deliver it with confidence, clarity, and passion. Captivate your audience with your enthusiasm for the subject matter and your genuine desire to share your knowledge and insights.

As you embark on this academic odyssey, embrace the challenges and revel in the discoveries that await you. Your thesis is not merely an academic exercise; it’s an opportunity to make a meaningful contribution to the field of financial management and leave your mark on the world of finance.

Most Relevant URL Sources:

  • Communicating Research Findings
  • Writing and Presenting Research Findings

thesis topics for financial management

Q1: What is the goal of financial management thesis topics?

A1: Financial management thesis topics aim to explore and analyze various aspects of financial management practices, theories, and challenges in different contexts. The goal is to contribute to the body of knowledge in financial management and provide insights for decision-makers in businesses, organizations, and governments.

Q2: What are some common thesis topics in financial management?

A2: Common thesis topics in financial management include capital management and investment decisions, employee salary plans and tax strategies, the role of intermediaries in stock markets, comparative studies of traditional finance methods and the influence of Fintech, and the link between valuation and financial decisions.

Q3: What are the different types of data collection methods commonly used in thesis research in financial management?

A3: Thesis research in financial management often employs qualitative research methods to gather data. These methods include interviews, focus groups, ethnography, document analysis, and observation. These methods allow researchers to collect rich and detailed information about the subjective experiences, attitudes, and beliefs of individuals and groups related to financial phenomena.

Q4: How can thesis research in financial management contribute to the field?

A4: Thesis research in financial management can contribute to the field by providing deeper insights into financial phenomena, exploring new areas of inquiry, and generating novel theoretical and practical implications. The findings from thesis research can inform decision-making, improve financial practices, and address real-world challenges faced by businesses, organizations, and policymakers.

Q5: What are some important considerations for organizing and structuring a thesis in financial management?

A5: Organizing and structuring a thesis in financial management requires careful attention to the reader’s expectations, discipline requirements, and logical flow. A clear structure typically includes an introduction, body chapters, and a conclusion. The introduction provides background information and context, while the body chapters present the research findings in a logical order, addressing different aspects of the research question. The conclusion summarizes the main findings and restates the thesis statement.

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Dissertation Topics in Finance: 50+ Examples for Inspiration

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by  Antony W

May 9, 2023

dissertation topics in finance

Finance is an interesting field to study that deals with how humans obtain funds and how they handle the investment.

As a student taking a master’s degree or Ph.D. course in finance, you’ll need to write a dissertation project before graduation.

What’s a better way to start the project than to look for the best dissertation topic in finance?

Unfortunately, choosing the right topic fast can be quite a big challenge, in part because finance is a wide subject that covers different areas.

While the rule of thumb when it comes to picking a topic for your dissertation is to identify an area you’re passionate about, the topic you select must be relevant, manageable, and useful with respect to a career path in finance.

We want to make your work easier with this guide, so you can have an easy time working on your assignment. B

elow you’ll find 50+ examples of topics related to finance. With that many choice, it should be easy for you to identifying one interesting topic you can explore further in a 100 to 300 pages long dissertation .

There are many factors to consider when choosing a dissertation topic in finance.

At the end of the, though, you need to make sure that the topic you choose falls within the area of your expertise and is interesting enough to explore. Here are 50+ ideas to get you started:

Ethics in Accounting Dissertation Topics

Accounting is a profession that, by its very nature, requires a higher level of trust and ethical code of conduct for better financial reporting.

Many questions have emerged from the increase in ethical scandals in accounting, and some of these require further studies. Some of the topics to consider in this area include:

  • Profits vs. whistleblowing in the workplace What is the best course of action?
  • Banking on Ethics: A Look at Ethics in the Banking Profession
  • Managers’ judgment has a role in financial reporting.
  • Using accounting methods to reduce tax liabilities. Isn’t that unethical?
  • Can accounting control systems ever prevent all occurrences of company fraud and unethical behavior?
  • Transfer pricing and tax avoidance Methods for teaching ethics to university accounting students that work.
  • Is an auditor’s independence only a perception or a reality?
  • Accounting, ethics, and the missing links: a case study from the United Kingdom
  • Contradiction in action: An broadening of the debate on Corporate Social Responsibility.
  • The Ethics of Tax Evasion as Perceived in the United Kingdom

Internet Banking Dissertation Topics

The debut of internet banking changed the way individuals and businesses manage their transactions.

These days, it’s easy to send and receive money right from the comfort of your home, and this practice alone has made online banking quite significant.

If you’re focusing on internet banking, your dissertation can focus on any of the following topics:

Best practices for online banking and transactions in terms of security.

  • Future Internet banking advancements in the United Kingdom.
  • Will Fintechs be there in the long run?
  • Internet banking services in the United Kingdom vary greatly: A comparison study.
  • How have the internet and mobile banking altered the corporate landscape?
  • Is digitization causing havoc in the financial industry?
  • Internet banking usage: A comparison between young and old people
  • A comparative assessment of digital innovation in the banking business in Europe and the United Kingdom.
  • The economic and financial consequences of internet banking

Microfinance Dissertation Topics

Microfinance has a wider audience, which is why there’s more effort in place to enhance its growth through banking and corporate sector.

Here are some topics that you can investigate:

  • What are the barriers to the establishment of a fully-fledged microfinance sector in the United Kingdom?
  • An investigation on the influence of microfinance in emerging economies.
  • Microfinance is becoming more popular in the UK banking business.
  • Considering the fast growth of international microfinance.
  • Access to financial services for the poor, including microfinance and microcredit: A Eurozone empirical study
  • Factors that influence the success of microfinance institutions.
  • Is microfinance empowering women all across the world?
  • How crucial is credit and other financial services to economic development and investment?
  • A strategic study, debate, and suggestions for assessing the demand for collective investment plans in the United Kingdom.
  • Microfinance’s influence on poverty reduction and economic growth

Alternative Investment Dissertation Topics

Financial market is more volatile now than ever before, and that alone prompts many investors to consider alternative means of spending their money.

Some of the sectors investors are willing to tap into due to high returns and less volatility include mutual funds, private equity, and hedge funds.

This sector still requires more investigation, especially since alternative investments don’t correlate to the current stock market. Some topics to consider include:

  • Index and mutual funds are becoming increasingly popular.
  • Hedge Funds: A new investment option for institutional investors and an entry into the retail market.
  • Hedge funds: are they risk diversifiers, return enhancers, or both?
  • Experiment evidence for investment diversification in alternative investment vehicles.
  • An assessment of the function and performance of UK capital markets as an alternative source of funding to banking.
  • The regulatory interference and enforcement authority in alternative investments.
  • The causes for the continuing rise of hedge funds and their implications for the UK financial market
  • The UK’s private equity market and numerous investors
  • Private equity investment in the European Union: Prospects for the Future

Accounting Standards Dissertation Topics

There’s a higher demand to maintain strict and high standards in accounting practices in many countries.

Yet these standards have raised a number of important questions that existing studies haven’t addressed. So several ideas that you could focus on in your dissertation include:

  • What is the standard for reporting on sustainability?
  • An examination of the likely effects of Brexit on the UK’s accounting standards and framework.
  • How have changes to the Companies Act and the Corporate Governance Code changed the function and duties of UK accountants over the last decade?
  • An inquiry into accounting outsourcing from the UK’s point of view.
  • An examination of accounting outsourcing from the standpoint of the United States.
  • Is the existing set of accounting standards meeting its goals?
  • The balanced scorecard: “Holy Grail” for law firms?
  • The growing demand for social and environmental information disclosure: Implications for large organizations

Retail and Commercial Banking Dissertation Topics

Retail and commercial banks may be on the decline, but they’re still an important part of the banking industry.

That’s so especially since they continue to play a big role in reaching out to semi-urban and rural populations that need financial services.

This segment of financial study focuses on examining how the baking sector has changed to accommodate the constantly changing demands of banking on the different segments of the economy.

Here are some topics to focus on in your dissertation:

  • How have banks influenced the growth of SMEs in the United Kingdom?
  • Change agents in the European Retail Banking Sector: An Analysis and Implications for Local Commercial Banks
  • Changes and preferences brought about by customer needs are driving the evolution of retail banking.
  • Inventory management in mobile banking: A case study of underdeveloped nations
  • In the UK banking business, what is the link between equity, pricing, and performance?
  • Financial services to the rural population: a study of retail banking problems in the United Kingdom
  • An examination of how information technology has revolutionized financial services in the United Kingdom.

Cryptocurrency Dissertation Topics

Cryptocurrency is currently more than a lucrative class of investment in the digital economy. It’s an area that has attracted the attention of many investors all over the world.

Despite its popularity, Cryptocurrency doesn’t have sufficient academic research yet, and therefore there’s a need to read and research further into the field.

If Cryptocurrency is your area of study as a finance student, here are some dissertation topics to consider:

  • Are we ready to demonetize the globe with cryptocurrency?
  • How to calculate risk and return in the crypto finance industry.
  • Is the cryptocurrency market influenced by technical analysis?
  • Are cryptocurrencies suitable for swing trading?
  • Is it feasible to make cryptocurrencies less volatile by employing a derivative strategy?
  • Are the returns on the cryptocurrency market sustainable?
  • What is the investing potential of other alt currencies in the face of Bitcoin and Ethereum’s dominance?
  • Cryptocurrency asset price. Do the standard theories apply in this case?
  • Why are banks so adamantly opposed to digital currency?
  • Cryptocurrencies are compared to other asset types.
  • What role do derivative goods play in crypto currencies?

If you’ve scanned through the topic ideas that we’ve given you in this guide, you’ve more than likely realized that there’s a lot to explore. So whether you’re interested in cryptocurrency, accounting, retail and commercial baking, or other areas of finance, you should find the right topic to explore in your research.

The goal is to choose a topic that interests you, but you also need to make sure it’s within your area of study. When in doubt, talk to your instructor. 

About the author 

Antony W is a professional writer and coach at Help for Assessment. He spends countless hours every day researching and writing great content filled with expert advice on how to write engaging essays, research papers, and assignments.

Home » Blog » Dissertation » Topics » Finance » 80 Finance Research Topics

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80 Finance Research Topics

FacebookXEmailWhatsAppRedditPinterestLinkedInWelcome to a valuable resource for finance students seeking compelling research topics for their theses or dissertations at various academic levels. As you embark on your research journey, selecting the right topic is crucial to explore and contribute to the ever-evolving landscape of finance. Finance is a fascinating field that delves into money management, investments, […]

finance research topics

Welcome to a valuable resource for finance students seeking compelling research topics for their theses or dissertations at various academic levels. As you embark on your research journey, selecting the right topic is crucial to explore and contribute to the ever-evolving landscape of finance.

Finance is a fascinating field that delves into money management, investments, and financial decision-making. Whether you are an undergraduate, master’s, or doctoral student, our comprehensive list of topics covers a wide range of themes, including corporate finance , investment banking , financial markets , personal finance , behavioural finance, international finance, public finance, real estate finance, quantitative finance, fintech and digital finance, sustainable finance, financial risk management, financial derivatives, Islamic finance, financial economics, corporate governance, financial management, financial econometrics and many more in which you can find research topics as per your need.

With these thought-provoking finance research topics, you can engage in in-depth analysis and critical thinking and contribute to advancing knowledge in the dynamic world of finance. Let’s dive in and discover the perfect dissertation topic that aligns with your interests and academic aspirations!

A List Of Potential Research Topics In Finance:

  • Evaluating the effectiveness of credit rating agencies in predicting corporate defaults.
  • The role of behavioural biases in individual investment decision-making.
  • An in-depth review of the challenges and opportunities of sustainable finance in the context of emerging economies and its potential for driving economic growth.
  • The impact of artificial intelligence and machine learning on financial decision-making.
  • An analysis of the factors influencing individual investment decisions in the stock market.
  • An extensive review of the literature on the effectiveness of financial education programs in enhancing consumer financial literacy and behaviour.
  • A systematic review of the literature on the efficiency of blockchain technology in financial transactions and its implications for future adoption.
  • Exploring the implications of climate change on financial markets and investments.
  • The role of financial institutions in promoting sustainable development and green finance.
  • The impact of international trade and exchange rate fluctuations on corporate performance.
  • Exploring the adoption and usage of mobile banking services by consumers.
  • The role of microfinance in poverty alleviation and economic development.
  • The impact of regulatory changes on the UK housing market and mortgage lending.
  • Examining the relationship between financial inclusion and economic growth.
  • The impact of financial literacy on personal financial management and well-being.
  • Evaluating the risk management strategies of UK banks during times of financial turbulence.
  • The role of big data analytics in financial risk assessment and management.
  • The implications of supply chain disruptions and trade restrictions on global financial markets post-COVID-19.
  • Analyzing the relationship between executive compensation and firm performance.
  • The implications of remote work and digitalization on financial services and cybersecurity post-pandemic.
  • An investigation into the factors affecting foreign direct investment inflows in developing countries.
  • Evaluating the long-term effects of the pandemic on corporate financial decision-making and capital structure choices.
  • Exploring the challenges and opportunities of sustainable finance in emerging economies.
  • The relationship between corporate social responsibility and financial risk management.
  • Evaluating the impact of macroeconomic factors on stock market volatility.
  • The influence of cultural dimensions on financial decision-making in global markets.
  • Exploring the determinants of initial public offering (IPO) underpricing.
  • An investigation into the causes and consequences of financial crises.
  • The role of government stimulus packages in mitigating the economic effects of the pandemic: a case study of selected countries.
  • A comparative review of the efficiency and effectiveness of different financial risk management strategies employed by multinational corporations in managing currency and interest rate risks.
  • Analyzing the relationship between financial leverage and firm profitability.
  • An analysis of the effectiveness of financial derivatives in managing market risk.
  • Evaluating the effectiveness of financial education programs on consumer behaviour.
  • Corporate social responsibility and its influence on financial performance.
  • An analysis of the factors influencing corporate dividend policy.
  • The impact of the COVID-19 pandemic on financial markets and investor behaviour: a comparative analysis of different sectors.
  • Evaluating the effectiveness of risk management strategies in financial institutions.
  • The impact of blockchain technology on financial transactions and security.
  • Analyzing the impact of financial innovation on banking sector stability.
  • The impact of Brexit on the UK financial services industry: a comparative analysis before and after the transition period.
  • Analyzing the role of fintech companies in disrupting traditional financial services in the UK.
  • Analyzing the link between financial development and income inequality.
  • A comparative review of traditional mutual funds’ performance and risk characteristics versus exchange-traded funds (ETFs) in different market conditions.
  • A critical review of the impact of artificial intelligence and machine learning algorithms on financial decision-making and risk management practices.
  • An assessment of the effectiveness of the Bank of England’s monetary policies during economic crises.
  • Assessing the resilience of financial institutions during the COVID-19 crisis and their risk management strategies.
  • The impact of corporate tax policies on firm financial performance and investment decisions.
  • The impact of central bank policies and unconventional monetary measures on economic recovery post-COVID-19.
  • The influence of corporate social responsibility on investor decision-making.
  • The role of crowdfunding platforms in financing small and medium-sized enterprises.
  • Assessing the financial inclusion initiatives and their effectiveness in reaching underserved communities in the UK.
  • The impact of trade wars and tariffs on international trade and investment flows.
  • Exploring the implications of fintech innovation on traditional banking practices.
  • Exploring the challenges and opportunities for sustainable finance and ESG investing in the aftermath of COVID-19.
  • A comprehensive review of the literature on the determinants of initial public offering (IPO) underpricing and its implications for investors and issuers.
  • Analyzing the relationship between corporate governance and firm valuation.
  • An in-depth review of the literature on the impact of macroeconomic factors, such as inflation, interest rates, and exchange rates, on stock market returns and volatility.
  • An analysis of the impact of interest rate policies on consumer spending and savings behaviour.
  • The impact of mergers and acquisitions on shareholder value and firm performance.
  • Analyzing the relationship between corporate governance and financial performance.
  • Analyzing the impact of interest rate changes on consumer borrowing and spending behaviour in the UK.
  • The influence of corporate governance practices on firm performance in the UK.
  • Evaluating the impact of interest rate changes on asset prices and financial markets.
  • Exploring the effectiveness of quantitative easing in stimulating economic growth.
  • Analyzing the role of central banks in monetary policy formulation and implementation.
  • Analyzing the role of fintech in facilitating financial inclusion and access to credit in a post-pandemic world.
  • Evaluating the effectiveness of sovereign wealth funds in managing national wealth.
  • The influence of financial regulations on market stability and investor protection.
  • Examining the implications of foreign direct investment on host country economies.
  • A critical review of the role of central banks in formulating and implementing monetary policies during economic crises and their effectiveness in stabilizing financial markets.
  • An investigation into the determinants of bank profitability in different market conditions.
  • Exploring the adoption and usage of digital payment methods in the UK post-covid-19.
  • Investigating the determinants of corporate capital structure and financing choices.
  • Evaluating the effectiveness of financial market regulations in preventing market manipulation.
  • The role of exchange-traded funds (ETFs) in influencing financial market dynamics.
  • An extensive literature review on the impact of financial regulations and corporate governance on firm performance and shareholder value.
  • The role of the UK’s green finance initiatives in promoting sustainable investments and environmental protection.
  • The role of venture capital in supporting startups and fostering innovation.
  • Analyzing the effects of cryptocurrency adoption on traditional financial markets.
  • Examining the role of behavioural finance in explaining market volatility during the pandemic and beyond.

In conclusion, if you are a finance student searching for compelling research topics for your dissertation at any degree level, this comprehensive list has you covered. Finance is a dynamic and ever-evolving field that offers many areas to explore and contribute to. Whether you are an undergraduate, master’s, or doctoral student, selecting the right research topic is paramount to embarking on a successful and fulfilling dissertation journey. Remember to choose a topic that aligns with your interests, expertise, and research objectives, as it will pave the way for a rewarding exploration into the fascinating world of finance. Happy researching!

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thesis topics financial markets

  • 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.

thesis topics financial markets

  • 12 Sep 2023
  • Research & Ideas

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?

thesis topics financial markets

  • 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?

thesis topics financial markets

  • 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.

thesis topics financial markets

  • 20 Jun 2023
  • Cold Call Podcast

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.”

thesis topics financial markets

  • 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.”

thesis topics financial markets

  • 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.

thesis topics financial markets

  • 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?

thesis topics financial markets

  • 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.”

thesis topics financial markets

  • 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?

thesis topics financial markets

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?

thesis topics financial markets

  • 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?”

thesis topics financial markets

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

More companies are bringing seemingly unrelated businesses together in new ways, challenging traditional stock categories. MarcAntonio Awada and Suraj Srinivasan discuss how applying machine learning to regulatory data could reveal new opportunities for investors.

thesis topics financial markets

  • 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.

thesis topics financial markets

  • 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.

thesis topics financial markets

  • 23 Mar 2023

As Climate Fears Mount, More Investors Turn to 'ESG' Funds Despite Few Rules

Regulations and ratings remain murky, but that's not deterring climate-conscious investors from paying more for funds with an ESG label. Research by Mark Egan and Malcolm Baker sizes up the premium these funds command. Is it time for more standards in impact investing?

thesis topics financial markets

  • 14 Mar 2023

What Does the Failure of Silicon Valley Bank Say About the State of Finance?

Silicon Valley Bank wasn't ready for the Fed's interest rate hikes, but that's only part of the story. Victoria Ivashina and Erik Stafford probe the complex factors that led to the second-biggest bank failure ever.

thesis topics financial markets

  • 13 Mar 2023

What Would It Take to Unlock Microfinance's Full Potential?

Microfinance has been seen as a vehicle for economic mobility in developing countries, but the results have been mixed. Research by Natalia Rigol and Ben Roth probes how different lending approaches might serve entrepreneurs better.

thesis topics financial markets

  • 16 Feb 2023

ESG Activists Met the Moment at ExxonMobil, But Did They Succeed?

Engine No. 1, a small hedge fund on a mission to confront climate change, managed to do the impossible: Get dissident members on ExxonMobil's board. But lasting social impact has proved more elusive. Case studies by Mark Kramer, Shawn Cole, and Vikram Gandhi look at the complexities of shareholder activism.

thesis topics financial markets

  • 07 Feb 2023

Supervisor of Sandwiches? More Companies Inflate Titles to Avoid Extra Pay

What does an assistant manager of bingo actually manage? Increasingly, companies are falsely classifying hourly workers as managers to avoid paying an estimated $4 billion a year in overtime, says research by Lauren Cohen.

Home » Blog » Dissertation » Topics » Economics » Financial Economics » 99 Financial Economics Dissertation Topics | Research Ideas

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99 Financial Economics Dissertation Topics | Research Ideas

By Adam Sep 17, 2023 in Economics , Financial Economics | No Comments

When it comes to the ever-changing world of economics, with markets that are constantly evolving, financial systems that are always fluctuating, and global economies that are interconnected, studying Financial Economics becomes crucial in order to navigate this complex landscape. Financial economics dissertation topics revolve mainly around capital issues, whether it be its provision or use. […]

financial economics dissertation topics

When it comes to the ever-changing world of economics, with markets that are constantly evolving, financial systems that are always fluctuating, and global economies that are interconnected, studying Financial Economics becomes crucial in order to navigate this complex landscape. Financial economics dissertation topics revolve mainly around capital issues, whether it be its provision or use. This means that all the components of capital are subject to financial economics research papers, through the application of decision theory within the context of the investment environment.

Financial Economics, also known as “Financial Econometrics” or “Economic Finance,” combines the principles of economics with the tools of finance to analyze the behavior of financial markets, investment strategies, and economic trends.

In this blog post, we will explore the various aspects of Financial Economics and provide a variety of thesis topics that can inspire your research journey. Whether you are an undergraduate just starting your academic journey, a master’s student delving deeper into the intricacies of finance, or a doctoral candidate seeking to make your mark in the field, choosing a dissertation topic in financial economics is a significant decision. Here, we have compiled financial economics thesis topics to help you generate relevant topics to choose from and start your paper-writing process.

Download Financial Economics Dissertation Sample

A list of financial economics dissertation topics:

The following is a list of dissertation topics in financial economics for research that can help you start a challenging yet oddly fulfilling journey to become a true academic.

The allocation of capital in public institutions- economic or political decisions? A transnational perspective.

The impact of financial knowledge in provision methods for retirement among people with different backgrounds- evidence from the UK.

The role of central banks in financial stability: A review of post-crisis policies.

The effect of cryptocurrency adoption on traditional financial systems.

An analysis of the Brexit effect on the UK’s financial markets.

The role of financial derivatives in risk management: A case study of UK banks.

Financial contagion in emerging markets: A review and empirical study.

Agricultural produce and stocks futures- exploration of type and length of relationship in a developing country- Sri Lanka.

The role of Government Linked Investment Companies in developing countries- literature review.

Corporate governance and firm performance: A comprehensive literature review.

Evaluating the impact of financial education programs on student loan debt management.

The influence of exchange rate volatility on international portfolio diversification.

A reading on the price methodologies acquirers apply to value target firms.

Evaluating the impact of digitalization on financial services.

The role of private equity in financing startups.

The influence of macroeconomic factors on stock market performance in the UK.

Assessing the impact of monetary policy on inflation and economic growth in the UK.

Analyzing the determinants of household saving behavior.

The impact of foreign aid on economic growth in developing countries.

Analyzing the determinants of consumer credit risk.

Sovereign wealth funds and their impact on global financial markets.

The relationship between corporate governance and financial fraud: A review of case studies.

The role of credit default swaps in managing credit risk.

The effect of dividend policy on firm valuation.

The effect of Basel III regulations on bank capital adequacy.

A systematic review of price characteristics in different types of options trading.

An investigation into the role of risk management in financial institutions.

Deciphering a long-term pattern for earnings management through return seasonality- a literature review.

Evaluating the efficiency of Islamic banking and conventional banking: A comparative review.

Agricultural produce and stocks futures- exploration of type and length of relationship in a developed country- the UK.

Financial innovation and its impact on banking efficiency: A critical review.

Reviewing the factors affecting sovereign credit ratings.

Analyzing the factors affecting the choice of financing in startups.

The role of peer-to-peer lending platforms in financial intermediation.

Islamic finance and its potential for ethical investment.

The influence of political instability on financial market volatility.

An analysis of the growth goals of companies through their investment policies- evidence from the UK.

The role of financial literacy programs in promoting saving and investment.

Financial market integration in the European Union: A review and analysis.

The role of credit rating agencies in the financial crisis: A review and analysis.

The effect of regulatory changes on initial public offerings (IPOs).

Financial inclusion and its implications for economic development in developing countries: A comparative analysis with the UK.

Corporate social responsibility reporting and its influence on investor decisions.

How receptive are family firms to change? Evidence from the UK.

The impact of globalization on financial markets: A historical review.

Deciphering the interest rate phenomena- a look at the different types of interest rates and their impact on the developed economy.

Credit risk transfer instruments and their impact on banking stability.

Analyzing the determinants of venture capital investment success.

The impact of corporate governance on stakeholders’ firm valuation: A comparative review between developed and developing countries.

The effect of exchange rate fluctuations on multinational corporations: A case study of UK-based firms.

Analyzing the impact of financial literacy on personal finance management .

The soundness of the employee stock option- an investigative analysis of the impact on firm turnover.

An empirical analysis of capital structure decisions in UK firms: Debt vs. Equity.

The impact of corporate governance on stakeholders’ firm valuation- comparative review between developed and developing countries.

Analyzing the determinants of cross-border mergers and acquisitions.

The academic contribution of financial economics- is a theory developed from practice or vice-versa?

The impact of fintech innovations on traditional banking: A study of the UK banking sector.

The role of financial intermediaries in capital allocation.

The effect of exchange rate regimes on international trade.

The effect of banking regulations on fintech innovation.

The impact of financial development on economic growth in Sub-Saharan Africa.

The role of hedge funds in financial markets: A comprehensive analysis.

The role of venture capital in financing innovation.

Exploring the relationship between interest rates and real estate prices in the UK.

The impact of quantitative easing on asset prices.

A study of the critical characteristics of the Zero Lower Bound Constraint and their theoretical impact.

How do natural disasters affect investor sentiments? A comparative analysis between developed and emerging economies.

Evaluating the effectiveness of microfinance in poverty alleviation.

Analyzing the determinants of consumer credit card debt.

An empirical analysis of financial distress prediction models.

The influence of investor sentiment on stock market volatility: A systematic review.

Evaluating the effectiveness of regulatory policies in the UK financial sector.

Analyzing the performance of real estate investment trusts (REITs).

The relationship between financial development and income inequality.

An investigation into the efficiency of the London Stock Exchange.

The relationship between financial inclusion and economic development.

Evaluating the effectiveness of stock market interventions during crises.

Financialization and income inequality: An empirical analysis.

Knowledge gap between theoretical and practical implications for credit rationing in the context of firm cash holdings.

Evaluating the effectiveness of credit risk models in predicting defaults.

An empirical study of stock market anomalies in emerging economies.

Corporate social responsibility and its impact on financial performance: A study of FTSE 100 companies.

The effect of financial liberalization on banking efficiency.

An analysis of investor reactions’ influence on markets’ development in emerging economies.

The role of ESG (Environmental, Social, and Governance) factors in investment decisions.

The role of risk management in the insurance industry.

Reviewing the literature on financial market bubbles and their causes.

Evaluating the impact of trade finance on international trade.

The role of behavioral finance in explaining market anomalies in the UK.

The relationship between financial market development and economic stability.

How has social media contributed to accountability in democratic, semi-democratic, and non-democratic economies? A comparative review.

Measuring systemic risk in the banking sector: An empirical study.

The role of behavioral biases in explaining investment decisions.

Analyzing the relationship between oil prices and stock market returns.

The role of gender diversity in corporate boards and financial performance.

Allocation of resources- an analysis of the rationale behind decision making for recipients of organizational resources in the UK.

The impact of trade liberalization on foreign exchange markets.

The relationship between corporate governance and firm innovation.

Analyzing the determinants of corporate dividend policy.

There you go. Use the list of financial economics dissertation topics well, and let us know if you have any comments or suggestions for our topics-related blog posts for the future or are looking to get help with dissertation writing . send us an email at [email protected] .

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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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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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Essays on international financial markets, firms’ capital structure and exporting decisions

Bose, Udichibarna (2016) Essays on international financial markets, firms’ capital structure and exporting decisions. PhD thesis, University of Glasgow.

International finance studies the dynamics in the areas such as international portfolio diversification, foreign investments, global financial systems, exchange rates, etc. This thesis brings together a set of chapters that summarises and synthesises varied areas of international finance maintaining a balance between the micro- and macro-level studies. This thesis is composed of three main empirical chapters contributing to varied aspects of international finance, mainly the areas of international portfolio diversification and home bias puzzle; development of bond markets and access to external finance; exchange rate uncertainties, output volatility and exports. Chapter 1 provides an outline and introduction of the thesis. Chapter 2 provides an extensive literature review on home-bias puzzle, explains the evolution and existence of home-bias puzzle, and gives various institutional and behavioural-based explanations which are considered as the main reasons for the existence of this puzzle. It discusses the advantages of international portfolio diversification and also the disadvantages of under-diversification in international portfolios. It gives a detailed empirical literature on the home bias puzzle and the relation between education and portfolio diversification. Further, this chapter empirically analyses a panel of 38 countries over a period of 2001-2010 to study the impact of different levels of education on home bias and international portfolio diversification. The results highlight that education is crucial in reducing equity home bias. After dividing the countries on the basis of their stock market capitalisation the results show that less developed countries with more university graduates have lower equity home bias. Finally, the results show that the benefits of education are larger during the recent financial crisis for the less financially developed economies. Chapter 3 provides a detailed analysis of the trends in Asian financial markets since the 1990s. It provides the main objectives of the Asian bond market policy initiatives. It also gives a detailed empirical literature of external finance, bond market development across the world and external finance-investment spending nexus. This chapter empirically analyses the impact of policy initiatives co-ordinated by Asian national governments on firms' access to external finance by using a unique firm-level database of eight Asian countries- Hong Kong SAR, Indonesia, Korea, Malaysia, Philippines, Singapore, Taiwan and Thailand over the period of 1996-2012. Using difference-in-differences approach and controlling for firm-level and macroeconomic factors the results show a significant impact of policy on firms' access to external finance. After splitting firms into constrained and unconstrained, using several criteria, the results document that unconstrained firms benefited significantly in obtaining external finance as compared to their constrained counterparts. Finally, the results show that the increase in access to external finance, after the policy initiative, helped firms to raise their investment spending, especially for unconstrained firms. Chapter 4 focuses on how exporting decision of firms are affected by volatility at the macro and micro levels, using a rich dataset of UK manufacturing firms for the period of 1990-2009. The results show that both types of volatility have an adverse impact on firms’ real export sales. After taking into account firm-level heterogeneity, the results show that the negative impact of exchange rate and firm volatility on exports is higher for constrained firms as compared to unconstrained firms. Further, this chapter considers the European Exchange Rate Mechanism (ERM) crisis of early 1990s and the global financial crisis of 2008. The results indicate that during the ERM crisis constrained firms face a significant adverse impact of exchange rate volatility on exports, while the impact of firm-level volatility is mostly insignificant. On the contrary, during the global financial crisis, constrained firms face a significant negative impact of firm-level volatility on exports and an insignificant impact of exchange rate volatility on exports. Finally, Chapter 5 provides the conclusion of the thesis highlighting the contributions, implications and future research avenues of each empirical chapter.

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Essays on Financial Markets and Monetary Policy

  • Department of Finance

Research output : Book/Report › PhD thesis

This output contributes to the following UN Sustainable Development Goals (SDGs)

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  • benjamin-knox-phd-series-15-2021 Final published version, 4.43 MB Licence: Unspecified
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T1 - Essays on Financial Markets and Monetary Policy

AU - Knox, Benjamin

N2 - This thesis concerns financial markets and monetary policy. It consists of three chapters on the topics of insurance pricing, asset pricing and the economic effects of monetary policy respectively. The chapters can be read independently.The first chapter considers the investment strategies of insurance companies and their impact on the pricing of insurance contracts. Our paper proposes and tests a new theory of insurance pricing, which we call “asset-driven insurance pricing”. Consistent with the theory, we show empirically that (1) insurers with more stable insurance funding take more investment risk and, therefore, earn higher average investment returns; (2) insurance premiums are lower when expected investment returns are higher, both in the cross section of insurance companies and in the time series. Our findings indicate that the assets and liabilities of insurance companies are more connected than previously thought.The second chapter presents a new decomposition approach for stock returns that is based on the sensitivity of the stock price with respect to expected returns and dividends at various horizons. Our method splits unexpected stock returns into news about cashflows and news about discount rates using observables. This decomposition, which is computed from the prices of traded financial products, avoids many of the model-implied assumptions associated with standard decomposition approaches. We apply our new decomposition in 2020, shedding light on the evolution of the return on US stocks during the COVID crisis.The third chapter considers the effects of monetary policy on the economy. I document rich heterogeneity in business cycles across U.S. states. As a result, state-level Taylor rules imply very different optimal monetary policies across states. To exploit the cross-sectional variation, I present a granular approach to monetary policy identification. The intuition behind the approach is that shocks to economic activity in one state can lead to changes in monetary policy, which are exogenous monetary policy shocks from the perspective of other states. I implement this approach in the United States and find large effects of monetary policy changes on future unemployment rates.

AB - This thesis concerns financial markets and monetary policy. It consists of three chapters on the topics of insurance pricing, asset pricing and the economic effects of monetary policy respectively. The chapters can be read independently.The first chapter considers the investment strategies of insurance companies and their impact on the pricing of insurance contracts. Our paper proposes and tests a new theory of insurance pricing, which we call “asset-driven insurance pricing”. Consistent with the theory, we show empirically that (1) insurers with more stable insurance funding take more investment risk and, therefore, earn higher average investment returns; (2) insurance premiums are lower when expected investment returns are higher, both in the cross section of insurance companies and in the time series. Our findings indicate that the assets and liabilities of insurance companies are more connected than previously thought.The second chapter presents a new decomposition approach for stock returns that is based on the sensitivity of the stock price with respect to expected returns and dividends at various horizons. Our method splits unexpected stock returns into news about cashflows and news about discount rates using observables. This decomposition, which is computed from the prices of traded financial products, avoids many of the model-implied assumptions associated with standard decomposition approaches. We apply our new decomposition in 2020, shedding light on the evolution of the return on US stocks during the COVID crisis.The third chapter considers the effects of monetary policy on the economy. I document rich heterogeneity in business cycles across U.S. states. As a result, state-level Taylor rules imply very different optimal monetary policies across states. To exploit the cross-sectional variation, I present a granular approach to monetary policy identification. The intuition behind the approach is that shocks to economic activity in one state can lead to changes in monetary policy, which are exogenous monetary policy shocks from the perspective of other states. I implement this approach in the United States and find large effects of monetary policy changes on future unemployment rates.

M3 - PhD thesis

SN - 9788775680061

T3 - PhD Series

BT - Essays on Financial Markets and Monetary Policy

PB - Copenhagen Business School [Phd]

CY - Frederiksberg

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thesis topics financial markets

90 Finance Research Proposal Topics

Research papers are an academic type of writing that requires the ability to find the results of a subject and analyse those results to make conclusions and recommendations. In the realm of finance, there are numerous things one could investigate. The management of risk Corporate and organizational governance, investment and many more are just the beginning of the things this field of study covers. Before we dive into the most common topics of finance research papers, it is essential to know about the basics of finance.

What is Finance?

Simply put financial management is the administration of money. However, this type of management encompasses activities like forecasting, savings and lending, borrowing and investing. Finance is a leading area to a swath of different activities related to investing, money credit, capital markets leverage or debit, and banking. Finance-related careers have for quite a while been rewarding because it gives you an advantage over virtually all other courses available. However, in this vast array of subjects, where do students in finance have resources available for writing research papers on finance ? There are several websites that concentrate on topics for finance research papers online.

Select the most appropriate research topic for the Finance Research Proposal

It is essential to select your subject carefully and eliminate any irrelevant information. There are a lot of things you should be aware of when choosing the best research topic, for instance, its importance in the context of current application and its relationship to prior research and the type of research issue and more. Additionally, you'll need to ensure that the subject is focused on a specific issue which you'll be dealing with during your research analysis.

  • When you are deciding on your research paper , it is crucial to choose the subject you are fascinated by.
  • Find a question with no answer within the area of your research and conduct additional study to discover a feasible solution.
  • Before you begin writing your essay, be sure you've completed some preliminary research to make sure you have enough research materials to write about your topic .
  • Conduct a search online and discover which topics could be an issue that you must tackle these.
  • Be sure you're taking a look at current, up-to-date and current information so that you can ensure your report is current.
  • Check out a variety of financial theses and papers to get an concept of your chosen subject;
  • Find a general view on your topic of financial research and then use the information to focus on one specific aspect.
  • Discuss your subject with your friends or others who have written essays. It is also possible to consult with your professors as well.

A list of finance-related topics to write about

We have compiled an array of interesting topics for writing about. They are divided into groups. This will allow you to select the most relevant topic for your audience and be sure to write it down completely. Enjoy doing your research.

Innovative finance topics

Perhaps you're planning to write a fascinating business essay. You'll have to pick some of the most popular topics for finance papers and then create a persuasive essay. This is our list of 10 topics we think are the fascinating.

  • A comparative study of the benefits and setbacks of mergers and acquisitions
  • Potential solutions possible solutions Capital Asset Pricing Model
  • The future of commerce as well as the consequences of manipulating commodities
  • A comparative study of the Continuous-time model's use
  • Stability for retail investors by implementing the Systematic Investment Strategy
  • US economic growth and taxation of income
  • How will the American economy function in conjunction with the current banking system?
  • Analysis of financial statements and ratio analysis are they a real element?
  • Senior citizen investments - a review of this portfolio
  • Multilevel Marketing and it's application across different economies around the world
  • The similarities and differences between traditional finance and behavioral
  • Customer satisfaction with e-banking
  • The most effective risk management strategies for manufacturing - thorough analysis
  • A derivative market and its financial risk Identification and measurement
  • Risks that could be posed to the banking sector, and how to mitigate them?
  • The latest technology that are behind commercial banking

Research topics on finance for MBA

The following list of research subjects in finance will inspire your professors and view finance from a different view.

  • An analysis of the investment potential of your selected company
  • Capital management - a detailed report
  • Considerations for saving taxes and financial strategies
  • Life insurance investment and the participation of investors in these investments
  • An analysis of the comparison between the traditional product and UIL

Topics related to public finance

Topics in public finance are financial research topics that cover the tax system, borrowing by the government as well as other aspects.

  • Budgeting for government and accounting
  • The economic austerity is a result of finance and education in the government
  • The concept and practice of the taxation by the government
  • How can the government get money by borrowing?
  • The revenue collection plan of the government
  • Accounting and budgeting for the government

Research topics for international research in Finance

Because business transactions are taking place globally, and local commerce is no longer an only alternative, it is essential to study international business.

  • How can we help prevent the onset of global economic crisis?
  • Does the banking industry have the ability to lessen the consequences of the financial crisis?
  • Can a country get the goal of providing healthcare to homeless people?
  • Which areas of healthcare require more money?
  • The issues with the high cost of medications in the US

Topics in research on healthcare finance

Here are a few of the most important issues in the field of healthcare finance:

  • Which is better, free or paid healthcare?
  • Healthcare finance - its origins
  • Is financing healthcare a privilege or a right?
  • Health policies throughout America U.S. through history
  • What can countries in the first world do to enhance healthcare?
  • What impact has the government had on health care?
  • Are we able to achieve universal healthcare for all?

Topics in Corporate Finance

Corporate finance is the process of the organization of capital, financing, and making choices on every investment. Following is a list of finance research topics will help you avoid errors in this field.

  • Potential solutions to ethical issues in the field of corporate finance
  • Understanding the investment trends of small and medium-sized firms
  • Mutual funds and investment A thorough analysis of its various streams
  • How can equity investors deal with the potential risk
  • What are the possible advantages and disadvantages of SWIFT and how will it function?

Topics in Business Finance

Every decision we make in the business world has financial consequences. We must therefore be aware of the basics to write finance-related topics that need analysis, management valuation, management, etc.

  • The establishment of business entities and the use of business finance
  • Modernization of business and the role of finance in business
  • Selling our life insurance Do we have a tax incentive that is effective in this case?
  • Who are the people who mutual funds affect in the private and public sectors?
  • Diverse investment options for various types of financials - Do you have an investment option you prefer?
  • The preferences and choices of investors - A thorough analysis
  • The investor's perspective regarding taking a stake in private insurers
  • Corporate entities and raising their accountability
  • Business finance and ethical issues
  • Taxes on small and medium-sized business payment

Personal financial topics

Personal finances are a vulnerable field, because we all want to attend to our finances in a way that is appropriate. Below are some fascinating problems in this area:

  • Strategies for saving money while in a financial bind - A assessment
  • The impact of inflation and the rise in the rate of interest on personal finances
  • Employers and employees working at home - what are the advantages?
  • Is health insurance that is free or affordable healthcare a right that everyone should have?
  • What are the most effective ways to save money if you're in a pinch?
  • Credit scored - a comprehensive analysis
  • The importance of car and credit loans
  • How do taxes affect financial decision?
  • What are the most effective ways to effectively manage credit?
  • The mobile banking industry and the problems

A few more topics for research proposals in Finance

  • The distinction between traditional and behavioral finance
  • The effect of control over budgets on organization performance
  • An analysis of the usage of financial state in evaluating the performance of a company
  • Ethics concerns that are associated with corporate finance and the ways they can be addressed
  • Transparency and clarity are enhancing in corporate organisations
  • The management of massive credit at commercial banks in either developed or developing countries
  • Mobile banking in both developed and developing countries
  • A review of credit management practices and bank lending practices in both developed and developing countries.
  • Electronic banking is a relationship that influences satisfaction of customers
  • Examining the effects of loan defaults and loan defaults on the financial viability of banks
  • Investment management: pros and cons management
  • Sustainability and green governance in industries that could pollute the earth.
  • How do corporate governance and institutional ownership affect green patent Generation.
  • The implementation of risk-management strategies.
  • Microfinancing and the alleviation of poverty
  • The transformation of the banking industry due to information technology (IT)
  • Internal controls in accounting firms
  • Corporate Social Responsibility is a key issue in banking systems of today
  • The combination of cryptocurrency and banks in a demonetized global
  • Security concerns with online banking and transactions online
  • Examine the differences between traditional finance and behavioral finance.
  • Study of the effect of budgetary control on the effectiveness of an organisation.
  • A critical analysis of the usage of financial statements to evaluate the efficiency of an organization.
  • What are the ethical issues associated with finance in corporations, and how can they be addressed easily?
  • Audit independence: improving transparency and accountability within corporate companies
  • Credit management and issues related to bad debts at commercial banks of [Country Name].[Country Name].
  • Opportunities and challenges of mobile bank banking within [Country NameProspects and challenges of mobile banking in [Country Name].
  • Evaluation of lending practices at banks and credit management in [Country Name].The evaluation of credit management practices and lending practices in [Country Name].
  • The impact of electronic banking on satisfaction of customers.
  • An analysis of loan defaults and the impact it has on the bank profitability.

How to Write a Perfect Finance Research Paper

Gathering and utilizing the correct financial information is vital in the production of clear finance reports and research papers on finance for academic and corporate goals. These data can range from the financial history of a business, the trends of an asset's performance on its market or shifts in the market for investment. But, before collecting and analyzing the data it is essential to choose a subject to avoid wasting time by focusing on a faulty subject. How can you be sure the finance research essay you write is done to perfection? Here are some steps to make sure that you adhere to when writing an essay or research paper on finance: an essay on finance:

Pick a relevant research paper area

This article is designed to provide most popular topics for finance research papers. When choosing a successful study paper subject, it's crucial to know the subject you're dealing with. If you don't know the subject you're writing about can result in you taking many dead-end routes and wasting valuable time. Once you have a clear understanding of the topic you must determine the relevancy of the topic and the subject you're writing your research paper on. Also, you can brainstorm ideas for subjects that could be suitable to research for your financial paper and based on these ideas you'll end with a suitable topic.

Plan your writing

It is commonly advised that if you are planning to chop off a branch, invest longer sharpening the axe. Writing effectively requires the steps you take to plan your the actions for your research paper prior to you actually begin writing. This will ensure that you're more productive and will ensure that as you write , you are spending less time. In writing a research paper, you'll employ a variety of approaches to writing. It could involve observation, summarizing, or analysing, arguing and analysing. Be mindful of the purpose of your paper is vital during this stage. This is where you will collect ideas for your finance essay.

Editing and writing

The process of writing the finance research paper is at the heart of the procedure. It is not much to be said regarding the writing process process, if you have prepared well and settled on a topic that is suitable in the study paper. But, every writer is bound to make mistakes. When writing, there will be mistakes made on paper. Additionally, ideas can change, or new ideas may pop out. The reason for the process of editing your financial research document is to polish your paper into the most polished version possible. Here are some tips to follow during how to edit and proofread your work.

  • Don't edit your essay immediately after writing. It is best to let it for a few days or for a long period of time prior to beginning your editing and proofreading.
  • If you can, ask someone to assist you with proofreading and editing your work. This could be from a friend or family member or even a colleague from class.
  • When editing, make sure to edits, do it on chapters that are based on chapter. This will help you lessen the burden as your finance research papers may be quite a lengthy document.
  • Use different methods in your editing. Examining for grammatical errors and checking for a flow of logic, ensuring the correct reference usage and many more.
  • After editing, read the entire document to ensure that there wasn't anything that was overlooked.

In the final draft of this paper, you will not just exhume data, but also the confidence.

Frequently asked questions

What is finance .

Financial management is simply the management of funds. However, this form of management also includes borrowing, investing, and operations like predicting and lending. A wide range of distinct activities relating to investment, money credit, capital markets leverage or debit, and banking fall under the umbrella of finance.

What is the best topic for finance project ?

role of retail credit in bank credit's long-term expansion. Retail bank credit's contribution to the economy's sustained expansion. The role of ECGC guarantees in export credit. An analysis of corporate banking and project finance, including credit for infrastructure.

What are the current research topics in finance ?

Finance-related research topics for students.

  • the variations and parallels between conventional finance and behavioral finance.
  • e-banking customer satisfaction.
  • A thorough review of the best risk management strategies for the manufacturing sector.
  • Identification and evaluation of the financial risks associated with a derivatives market.

What are the topics for finance internship ?

General Financial

  • Studies on capital budgeting.
  • Economic Analysis.
  • Ratio evaluation
  • Risk assessment.
  • Inventory Control.
  • Analysis of financial performance.
  • studies on venture capital finance.
  • Tax preparation.

Which project is best for MBA finance ?

Beginner MBA Finance Projects

  • The value of capital budgeting.
  • corporate investment analysis.
  • portfolio management, including techniques.
  • an examination of a company's cost modeling.
  • the mechanism for controlling the budget and inventory.
  • Public understanding and familiarity with wealth management.

What can be the topics for mba Finance summer internship project in a CA firm ?

corporate finance, international taxation, mergers, and acquisitions, etc

How do I prepare for a finance internship ?

Refresh your knowledge of technical financial topics and abilities. Refresh your memory of typical finance issues or procedures that you could be asked to use on the day of your interview. Candidates seeking internships at Wall Street institutions are frequently required to verbally describe financial practices.

What are the articles related to finance ?

According to Article 280 of the Constitution, the President appoints the Finance Commission, which has as its primary responsibility to make suggestions on how to tax income should be divided between the Union and the States and among the States themselves.

What are some research proposal topics in accounting and finance ?

Five Interesting Topics for Accounting Research Papers

  • Software for accounting is required.
  • newest accounting software innovations.
  • Accounting ethics dilemmas.
  • Best accounting techniques' historical prospects.
  • Benefits of quick information for contemporary accountants.

What is the best topic for internship ?

Topics for Internship.

  • Any State's e-governance.
  • Analyze any given service across all States.
  • Internet adoption and methods to boost it.
  • Internet safety.
  • Social media: good or bad?
  • Social media's impact on Indian culture
  • Social media is eroding our culture's foundation.

What is the best topic in finance ?

Accounting businesses' internal controls. Concerns about corporate social responsibility in contemporary banking systems. combining banks and cryptocurrencies in a demonetized environment. Cybersecurity concerns have an impact on online transactions and banking.

What is the objective of a finance internship ?

Learn everything you can about the company's cash management procedures. Learn everything you can about the company's treasury operations. Learn about the company's corporate budgeting procedure. Discover the company's internal and external financial reporting practices.

What is research proposal with example ?

A research proposal is essentially a formal, organized document that outlines your intended research subject, your reason for choosing it as a topic for study, and your methodology (i.e. your practical approach).

How long is a research proposal ?

2,500 words 

How do you start a research proposal example ?

A succinct description of your desired research, no more than 100 words, should be included in the proposal. This might be a few phrases outlining the issue you want to look at or the main issue you want to tackle. Explain the general context in which your study will be conducted.

thesis topics financial markets

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Technical University of Munich

  • Chair of Financial Management and Capital Markets
  • TUM School of Management
  • Technical University of Munich

Technical University of Munich

Final theses

Application Process

To apply for a thesis, please send the following information to Aida Cehajic ( [email protected] ):

  • Curriculum Vitae
  • Current Transcript of Records
  • A preference list indicating your preferred research area in one of our  competence fields

In the case of applying for a bachelor or master thesis please include Bachelor thesis - Application or  Master thesis - Application  in the subject. Please refrain from preliminary inquiries and always send all the documents listed above.

We do not explicitly post current topics of bachelor's and master's theses on the webpage. If you are interested in writing a thesis at the chair, please send us your preference list (see above). We will try to find a topic that fits your interests. A list of exemplary topics from the past can be found here .

We are currently offering a master's thesis for aspiring doctoral students . For further information on the thesis and how to apply, see here .

Note:  If you want to work on a self-selected topic or if you want to write your thesis in cooperation with an industry partner, you are asked to hand in a short two-pager with a thesis proposal. This proposal should (at least) (i) define the research question, (ii) indicate the data and methodology to be used and (iii) discuss the related literature.           

NOTE: New bachelor's theses will start in September 2024. The application deadline is September 20, 2024. Please send your application to [email protected] .  After the registration is confirmed, the students will be invited to an info session, where the supervisor will provide all the details regarding the topic. The info session will take place in October 2024.

Afterwards, new bachelor theses will only be available as of February 2025. In the meantime, you can apply on a rolling basis since in exceptional cases, there might be topics available to be supervised individually.

Who can apply?

All students that have passed the course Corporate Finance can apply for bachelor theses.

For master's theses, students must have a specialization in "Finance & Accounting" from the Master in Management and Technology (TUM-BWL), or Finance and Information Management (FIM) degree program or should have passed two of the following four courses: Asset Management, Banking & Risk Management, Derivatives, or International Capital Markets and Investment Practice . If the grade of any of these courses is not in your transcript yet, please include it in the email body. In exceptional cases, students who passed only one of the four courses can apply for a master thesis at the department  (i.e., students should then explain why they could not pass two of these courses or demonstrate that they passed comparable courses). We will then see whether we can find a suitable topic for you. 

Additional requirements

It is expected that all students writing their bachelor or master thesis at our Chair visit our Finance Research Seminar  series. In this way, the students can familiarize themselves more with the current state of research in their respective fields. 

  • Bachelor: 3 months
  • Master thesis (MBA/EMBA): 3 months/6 months
  • Master thesis (TUM-BWL/TUM-WIN): 6 months                        

A final thesis has to adhere to scientific standards. It is the duty of the student to become familiar with those standards. Guidelines concerning the thesis itself (formal requirements, layout, etc) can be found  here .

On a regular basis, there are workshops on Refinitiv Workspace and Datastream (see  TUMonline ). Students who wish to write their final thesis at our department are highly recommended to participate in these workshops in order to be able to handle financial data necessary for their thesis.

An overview of accessible databases is provided here : 

For other helpful student resources have a look at our  Student Resources section.

Please notice that legally binding are only the examination regulations that can be found on the website of the  TUM business faculty .

Is the stock market open or closed on Good Friday 2024? See full holiday schedule

thesis topics financial markets

United States stock markets will be closed on Friday, March 29 in observance of Good Friday , the day in which those who follow the Christian faith commemorate the crucifixion and death of Jesus Christ.

The  Nasdaq  and  New York Stock Exchange  will be closed Friday and reopen Monday, April 1. The U.S. bond market will close at 2 p.m. ET Thursday and will also be closed Friday, according to the  Securities Industry and Financial Markets Association .

After shuttering for Good Friday, it will be business as usual on Wall Street until late May. The next scheduled stock market closure is on Monday, May 27, 2024 in observance of Memorial Day.

What is Good Friday?: What the holy day means for Christians around the world

United States stock market 2024 holiday schedule

Markets will be closed for the following holidays:

  • Good Friday: Friday, March 29
  • Memorial Day: Monday, May 27
  • Juneteenth: Wednesday, June 19
  • Independence Day: Thursday, July 4
  • Labor Day: Monday, Sept. 2
  • Thanksgiving: Thursday, Nov. 28
  • Christmas: Wednesday, Dec. 25

Gabe Hauari is a national trending news reporter at USA TODAY. You can follow him on X  @GabeHauari  or email him at [email protected].

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    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.

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    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. ... Assessing the contribution of hedge funds to systemic risk in financial markets, and the effectiveness of regulatory measures in mitigating such risks;

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    by Carolin E. Pflueger, Emil Siriwardane, and Adi Sunderam. This paper sheds new light on connections between financial markets and the macroeconomy. It shows that investors' appetite for risk—revealed by common movements in the pricing of volatile securities—helps determine economic outcomes and real interest rates.

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    Dissertation Topics In Financial Markets: 20 Best Suggestions. To get a degree in finance, you'll have to compose and defend a dissertation on a relevant topic. You may choose financial markets as a general area of your research. However, you'll need to narrow down this topic in order to conduct a meaningful study. If you cannot generate a ...

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    Alternative Investment Dissertation Topics. Financial market is more volatile now than ever before, and that alone prompts many investors to consider alternative means of spending their money. Some of the sectors investors are willing to tap into due to high returns and less volatility include mutual funds, private equity, and hedge funds.

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    Theses/Dissertations from 2012. PDF. On The Efficiency of US Equity Markets, Mikael Carl Erik Bergbrant. PDF. Two Essays on the Sell-side Financial Analysts, Xi Liu. PDF. Two essays on Corporate Restructuring, Dung Anh Pham. PDF. Two Essays on Corporate Governance, Yuwei Wang.

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    International finance studies the dynamics in the areas such as international portfolio diversification, foreign investments, global financial systems, exchange rates, etc. This thesis brings together a set of chapters that summarises and synthesises varied areas of international finance maintaining a balance between the micro- and macro-level studies.

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    Topics related to public finance. Topics in public finance are financial research topics that cover the tax system, borrowing by the government as well as other aspects. Budgeting for government and accounting. The economic austerity is a result of finance and education in the government. The concept and practice of the taxation by the government.

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    This thesis studies behavioral characteristics of human beings and how they influence the risk taking decisions of individuals in financial markets. In a broad sense, any human action involves consequences, which are typically uncertain, and so we are constantly assuming risks. More than an alternative way to approach financial problems,

  23. Final theses

    Note: If you want to work on a self-selected topic or if you want to write your thesis in cooperation with an industry partner, you are asked to hand in a short two-pager with a thesis proposal. This proposal should (at least) (i) define the research question, (ii) indicate the data and methodology to be used and (iii) discuss the related ...

  24. US small-caps suffer worst run against larger stocks in over 20 years

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