Finance Dissertations

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Impact Of Corporate Governance On Capital Investment Decisions

Through various studies over the years, different scholars and financial analysts have been able to establish a relationship of cash flow on firms’ investment spending. It was significantly proven by (Modigliani & Miller, 1958) that a firm™ financial status is irrelevant for real investment decisions in a world of perfect and complete capital markets, after controlling for the cost of capital....

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A Case Study Of Services Sector Of Pakistan

The aim of this study refers to highlighting the key challenges and prospects for the microfinance sector of Pakistan. Being practiced since last few years, microfinance is considered to be an imperative financing practiced by financial institutions for the development of country’s economy. This study has been carried out using the following four steps: present scenario of microfinance in Pakistan, identification of internal and external challenges, prospects in microfinance, and policy recommendations to boost microfinance sector in Pakistan. In this research, microfinance framework has been used to better understand the process of building a sustainable microfinance institution. The findings have...

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State Of Banking Before And After Financial Crisis

Banks play a very important role in financial system. Most businesses have a need for a line of credit or other financing with a bank (Editorials, Street directory). A stable financial system can help a nation’s economy grow steadily than it would in an unstable financial system. From loans to investments, financial institutions are exposed to all kinds of risks in the market. Risk is universal in the financial industry and everything that a financial institution does requires thorough Risk Management Practices (RMPs). The recent financial crisis has brought out the existing flaw in the banking system which probably no one...

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Future Depositors Rate Of Return Applying Neural Network

Islamic bank has to perform good strategy which still confirm with the Islamic law in order to deliver better return to compensate depositor`s money. This paper is embarked on to identify the relative significance assigned to selection variables for depositor in maximizing their opportunity. In such case, it becomes very necessary to have a prediction of future rate of return in order to get a clear picture in making precise decision. This research used some key macroeconomic variables such as Jakarta Stock Indices (JSI), inflation rate (INFR), central bank`s interest rate certificate (INTR), exchange rate (ER), and money in circulation...

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Effect Of Macroeconomic On Stock Return Industrial Sector

This research paper is conducted to measure and analyze the effect of macroeconomic on stock return of industrial product sector as compared to performance of Kuala Lumpur Composite Index. Several variables will be used to identify the relationship between the dependant variable which are three pre-specified macroeconomic variables the term structure of recession, interest rate, exchange rate and stock price movement that might give impact to the independent variable which is listed stock of industrial product sectors components in Kuala Lumpur Composite Index. Holding Period Return method will be used to measure the impact dependent variables to independent variable in...

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The Worlds Leading Carriers

Singapore Airlines (SIA) started from a single plane to an internationally respected brand, more than 60 years of innovation and service has propelled the growth of SIA to become one of the world's leading carriers with an advanced fleet. ...

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Study On Credit Risk And Credit Risk Management

The purpose of this research is to make clear the importance of credit risk management and how the firm can get the benefit by using different methodologies by different actions of credit risk management....

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Study On The Problem Of Money Laundering

Money laundering is a global problem. Measuring its impact is tough, as it takes place behind everyone’s eyes and it apparently is a victimless crime. Yet the damage it does can be devastating to the financial sector and economy’s ‘real’ and ‘external’ sector, especially in case of a developing country. By contrast, effective anti-money-laundering policies can reinforce a range of good-governance policies. This in result helps the country to sustain economical growth particularly by making the financial sector stronger....

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Example Finance Dissertation

Example Finance Dissertation - Corporate payout policy in the UK: why are companies shifting away from dividends towards share repurchases .Testing for the substitution hypothesis in the UK for the period 1989-2004? ...

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International Business Strategy Of Mnc In Emerging Markets

The research aims to observe the different adaptive strategies employed by the multinational corporation’s (MNC) while it enters the emerging economies, analysing market potential, business growth, and the foreign direct investment in the country, with its effects on the (GDP) gross domestic product and corporate social responsibility of the emerging market....

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Demand Of Derivatives Investment

This research investigates the demand of derivatives investment by Malaysian. ...

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Research Data Market

Finance Dissertations - This chapter aims at explaining the methodology which has been adopted in this study. Research approaches or style... ...

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Idbi Bank

Each and every project study along with its certain objectives also have scope for future. ...

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Background On The Banking Industry In Pakistan

Over the years, banking sector of Pakistan showed massive growth and potential. The performance and strength indicator represents significant improvement in the success of banking system of Pakistan. The banking sector of Pakistan had faced pressures from 2008 onward after gigantic amount of growth. Such as the liquidity crisis and solvency hitch had significantly affected the performance of banking and economy. The financial institution possibly managed the situation well devoid of any trouble. The adequate amount of liquidity had vacant to fulfill the requirement. Since the banks were working in a very tight market conditions and enforced to pay attractiveness...

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Forex Market

I would like to express my profound sense of gratitude to the Dean of International Institute of Planning and Management ...

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Market Risk Management Through The Use Of Options

What is the role played by options, futures and forward contracts in managing market risks? The research critically analyzes this through the case study of Vodafone Group Plc. It first identifies the various factors that determine these risks since market risk includes different types of risks like commodity price risks, interest rate fluctuations risks and currency risks. Through the case study, it further aims to evaluate the effectiveness of using above derivatives, in managing market risks. By considering the portfolio of company designed to hedge a particular amount of risk; the research also aims to critically evaluate the individual contributions...

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Effect Between Exchange Rates

This paper endeavors the relationship and the positive effect between exchange rates and interest rates in Pakistan by utilizing the foreign exchange market and current scenario of increasing interest rates because of increasing exchange rates to represent the economic position of Pakistan. ...

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General Dynamics And Lockheed Martin

This analysis provides a comparison of two major companies within the Aerospace and Defense industry, General Dynamics and Lockheed Martin. ...

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Problematique Strategique Reel

Dans le cadre du cours de Stratégie, la production de la présente monographie a comme but d'analyser une problématique stratégique réel, en utilisant les outils étudiés en class ...

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Do Financial Institutions Follow Laid Down Procedures

In the past people were using barter system in the form of commodity money to exchange goods that they don’t have, but with the advent of money, things have changed and nowadays to satisfy their basic needs & necessities, to acquire luxuries, any other movables & immovable’s people resort to credit financing through financial institutions or otherwise.....

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Aim Market Exploring The Impacts Of Recession

The purpose of this study is to explore the repercussions of recession on the British Stock Market particularly expounding its impact on Alternative Investment Market. The study aims to utilise qualitative approach to examine and constitute the relative repercussions of recession upon AIM. For this, an exhaustive literature review of the London Stock Exchange is essential to gain indicative factors relevant to account for the associated risks of recession to AIM. According to research on UK firms, uncertainty shocks typically reduce the responsiveness of firms by more than half, leaving monetary and fiscal policy-makers relatively powerless (Bloom et al, 2007)....

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Investment Stock Consumption

The investment dilemma hits when individuals earn more than their consumption needs. Considering the fast rising inflation globally, saving the surplus earnings for future consumption is not sufficient anymore. ...

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The Inflation And Stock Returns In Nigeria

This study empirically examines the relationship between inflation and stock returns in Nigeria during 1997-2006. The study focuses on different econometric models to investigation this relationship using monthly data of the All Share Price Index from the Nigerian Stock Exchange and Nigerian Consumers Index. The simple OLS regression result suggests that the residuals are stationary, which implies that stock returns and inflation are co integrated. Therefore we can conclude that there is a long run relationship between stock returns (LOGASI) and inflation (LOGCPI).The Engel co-integration results reveals that there is long run relationship between inflation and stock returns...

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Financial Planning By Considering Personal Financial Needs

We know that the conditions of an economy do not remain static. The factors which influence it keep on changing. The rate of flow of funds also, changes with time in an economy, so people have funds available in different strengths at different moment of time. It affects the lives of people living in that economy because to satisfy their needs they require funds. People always feel a gap, positive or negative, between their needs and required funds. So they do their financial planning....

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Foreign Direct Investments

All nations need a vision for future which stirs the thoughts and motivates different segments of society to a greater effort and thus inclines them to work toward the common cause that is economy growth of the individual nation. ...

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Money Market India

Finance Dissertations - Money market is an important segment of the financial market (system) as it provides avenue for equilibrating the short term... ...

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Impact Of The Recession On The Banking

In late 2000s financial market collapse and the resulting, global recession have left an urgent need for knowledge and research about unemployment-financial markets, poverty and much more. It will be expected from the social scientist to examine the reasons and causes of the crisis, the resulting economic and social trouble, and solid solution....

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Impact Of Mergers And Acquisitions Of Tata Group

My experience in preparing the seminar paper on IMPACT OF MERGERS AND ACQUISITIONS ON THE FINANCIALS AND PERFORMANCE OF TATA GROUP...

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Failure Of Investment Banking In Uk

The United Kingdom, and particularly London, helps as one of the leading foreign centers for Investment banking and other related helps.Y ...

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Trends Of Islamic Banking In Pakistan

Mehmoob Ul-Hassan (2007) explained that the main motive of this article is to analyze the efforts that have been made and measures that have been taken to Islamize the economy, specifically the banking and financial institutions in Pakistan. In this it is explained what are the factors that helped in the process of islamization and at the same time it also discussed that what factors hindered the islamization process in Pakistan. The role of Supreme Court in the establishment of Islamic Banking is also discussed. The article explains that the real motive to get a separate nation was to provide...

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Challenges Of A Budget Deficit For School Leaders

Wildavsky (1986) has raised pertinent question about the evolution of budgeting at school level in these words:...

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A Conceptual Framework

Welcoming Foreign Direct Investment (FDI), means of India and China differ to some extent which gives to some important subjects of concern about the definite FDI perspectives of India. ...

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Effects Of Cross Border Bank Mergers On Performance

BACKGROUND: Being a developed economy the European Banking sector is undergoing a process of restricting which may be mainly because of ever permanent trends like disintermediation, deregulation and the ever increasing competition and the very obvious proof of this restricting is the increasing number of mergers and acquisitions. I f we look back we will find out that from the year 1995 to the first half of the year 2000, 2153 mergers and acquisitions were recorded in the European Union of credit institutions out of which 1807 were domestic merger deals out of the remaining 346 cross border bank mergers...

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Critical Success Factors In Merger And Acquisition Projects

The introduction of this Proposal as well the dissertation will explain the concept of critical success factors in mergers and acquisition and will investigate how an advisory firm can help in mergers and acquisition and its perspective. . A short case organization State Bank of India will be made. The aim is to enlighten the reader about the problem formulation, the brief review of literature, aims and objectives and finally will the research methodology, data collection method, data analysis and conclusion will shown in this proposal....

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