This document lists 100 potential thesis topics in finance. Some examples include analyzing the impact of microfinance in various economies, comparing financial innovation in Asia and Europe, studying the effects of privatization of government-owned businesses, and examining the performance of banks during financial crises. Other topics focus on specific industries, countries, or financial concepts.
2. 1. The UK banking industry and the impact of microfinance in its economy
2. A comparative study on the financial innovation in Asia and Europe
3. Profitability and capital employed of government-owned businesses and
the impact
of privatization
4. Microfinance ¨C how women are being empowered
5. Business sectors in the UK and effects of financial crisis
6. Comparative studies of foreign and domestic banks ¨C an analysis of their
profitability
7. Banking industry ¨C financial crisis and its impact
8. UK banks¡¯ financial performance
9. The Bank of England and its controversial approach
10. Role of the retail banks in the USA
11. Developing economies: how its awareness on microfinance affect it
12. A study of capital structure and corporate strategy
13. A comparative study of banks¡¯ asset-liability management framework
14. Asian economies and foreign direct investments ¨C an investigation
15. The UK retail industry and its economic impact
16. Microfinance in Dubai¡¯s banking industry
17. Government-owned businesses: effects of privatization
18. Foreign and domestic banks ¨C an analysis
19. US banks performance
20. Asian economies: a study about foreign direct investments
3. 21. What are the impacts of recession to the world economy?
22. Hedge fund performance
23. What are the roles of the rural banks in the UK?
24. Retail banks contributions to the UK economy
25. What is the profitability of mergers?
26. Islamic micro finance banks
27. Futures and forwards contracts
28. Automotive industry performance analysis
29. The bullion market study
30. Nigerian banks performance
31. Islamic banking ¨C assessing the profitability and deposit relationship
32. Pakistan banking industry background
33. What is efficient market hypothesis?
34. CAPM
35. Banking system in the world
36. Tunisia corporate performance and board characteristics
37. Banks financial institutions
38. BOC group industrial
39. High tech acquisitions
40. Central bank inflation
4. 41. Practice gap theory
42. Indian money market ¨C commercial paper
43. Commercial banking sector
44. China stock exchange
45. Different Asian Capital Markets
46. Indian companies and their dividend policies
47. Capital investment decision and corporate governance
48. Budget deficit
49. Competition stock exchange
50. Capital portfolio estimation
51. Malaysian public listed companies and corporate performance
52. Housing loans ¨C a comparative study
53. Creative accounting
54. Indian listed companies and corporate governance
55. What the accuracy of analysts forecast?
56. Vietnamese banks reform and the consequences of herding
57. Credit payment trade
58. Credit risk banking
59. Credit policy cash management
60. Banking sector crisis
5. 61. Merger and acquisition projects ¨C what are the success factors?
62. Currency risk management
63. Derivative market management
64. Mortgage home loan selection
65. Financial institution and its profitability
66. Pakistan debt maturity structures
67. Nigeria government bond market
68. Differences between conventional and Islamic securitization
69. Dominant shareholder disciplining
70. Stock market return and discount rate changes
71. Dividend policy in Malaysia
72. Laid down procedures: do financial institutions follow?
73. Litigation risk and underwriter ¨C do they affect IPO pricing?
74. Dividend policy ¨C determinants and dynamics
75. A study on the effect of exchange rates
76. Choice of investments and demographics
77. Performance and cross border bank mergers
78. Foreign trade ¨C impact and risk of exchange rate
79. Stock return industrial sector and macroeconomics
80. Banking sectors ¨C acquisitions and mergers
6. 81. The financial markets in Egypt
82. What are the reactions of shareholders to acquisitions?
83. Economy and money laundering
84. Stock option and executive compensation
85. Is Bank London and mortgage evaluations
86. International students and their credit access
87. Alternative volatility forecasting methods
88. UK investment banking failure
89. Shareholders and their financial information
90. Insurance industry financials
91. Personal financial needs and financial planning
92. Financial reporting standards
93. Risk investment
94. Foreign exchange risk
95. Foreign direct investments
96. Foreign exchange markets
97. Gross domestic product
98. How cash holdings are affected by investment opportunities
99. GDP economic product
100. Internet banking security