Before giving away a list of finance dissertation topics examples, let me give you a brief overview of what is finance.
Finance can be described as the study of investments. It is a combination of two interrelated activities - how money is handled and the process of obtaining the funds required. In a brief way, you can call it the science of money management. To operate smoothly, individuals, companies, and the government units are needed to have funds. To acquire that fund, the financial institution estimates the price of assets based on risk level involved along with the expected rate of return.
Also check our corporate finance topics post for more options.
Finance Dissertation Topics Selection Areas
Students pursuing MBA with finance as major usually find it difficult to choose dissertation topics for MBA finance. Finance is a vast field and can be attached with banking and accounting as major subjects. That is why; students also search for dissertation topics in banking and finance and dissertation topics for accounting and finance. There are so many areas you can explore to create topics for your finance dissertation. We have generated a list of areas you can choose to make some good finance dissertation topics. The list follows;
- Financial Management
- Global Finance
- Foreign Direct Investment
- Investment Banking
- Privatisation
- Corporate Strategy
- Risk Management
- Finance Portfolios
- Share Prices
- Capital Investment
- Financial Planning
- Microfinance
- CSR
- Financial Crisis
- Banking Industry
Finance Dissertation Topics Examples List
Either you are an undergraduate student, doing your MBA, or about to start your PhD; following finance dissertation topics examples can help you to make your own dissertation topic on finance.
Cognitive moral development theory and moral maturity of accounting and finance professionals.
Cooperation and opportunism in venture capital financed companies.
Gender and development through western eyes: an analysis of microfinance as the west's solution to third world women, poverty, and neoliberalism.
A multi-factor quadratic stochastic volatility model with applications in finance and insurance.
A quantitative study describing the impact of innovation-related investment and management performance on corporate financial returns.
American venture capital in a Post-American world: the role of firm resources and capabilities in U.S. Cross-border venture capital investment.
Approaches to efficient investment in nonpoint source pollution management -- a municipal perspective.
Asset levels of service-based decision support system for municipal infrastructure investment.
Bank community development corporation investments in community economic development.
Barriers to credit and investment to minority business entrepreneurs: an investigation in the Rockford, Illinois, metropolitan statistical area.
Exploring opportunities and obstacles for foreign direct investment in Pakistan's energy sector.
The impact of Saudi economic reform on FDI (foreign direct investment).
Effects of foreign direct investment on economic growth: a case study of Nigeria.
Can microfinance institutions reach the poorest of the poor and accomplish financial sustainability at the same time?
Access to finance for SMEs in the UK: how do SMEs meet their needs for finance at the start-up stage and beyond, given their exclusion from the capital markets?
Using Derivatives for Hedging and Increasing Firms’ Value.
Identifying and Quantifying High Probability Trading Strategies in the Foreign Exchange: Key Success Factors.
Optimizing the Supply Chain Finance in Banking for Increasing the Efficiency.
Advantages and Risks Associated with Portfolio Optimization: A Case Study of United Kingdom.
The Relationship Between Investor’s Sentiment and Stock Volatility: A Case Study of China and USA.
The Concept and Outcome of Management Audit.
Effect of Financial Crisis on the Real Estate in Dubai.
Effect of Financial Crisis on the Sustainability of Home Ownership In U.K.
Do Muslims in U.K Prefer Islamic Banking Over Non-Islamic Banking?
Impact of Trade Tariffs Imposed by European Union (Foreign Economies) on Pakistan's Agriculture Exports.
Rationales for FDI and the Role of FDI in Enhancing Development in Third World Countries.
Financial Risks Faced by a Business in Modern Business Environment.
Determinants of Capital Structure and Dividend Policy.
Microfinance in the Developing Country: The Awareness and the Impacts of its Financial Services to the Low Income Group – A Case Study of Malaysia.
Identifying and Quantifying High Probability Trading Strategies in the Foreign Exchange: Key Success Factors.
Advantages and Risks Linked with Portfolio Maximization.
Insurable Interest as a Requirement for the Insurance Contracts.
Influence of Industry and Firm Characteristics on the Capital Structure of Small Medium Enterprises: A Case Study of Hong Kong.
Impact of BREXIT on the Foreign Investment of United Kingdom.
Maximizing the Supply Chain Finance in Banking for Increasing the Efficiency.
Analysis of Asymmetric Information and Market Interest.
Effect of Capital Structure on the Stock Returns in the Petrochemical Industry: A Strategic Approach.
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