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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

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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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Financial Markets and the Macroeconomy: Theory, Evidence and Policy Prescriptions

  • Dordal Carreras, Marc
  • Advisor(s): Gorodnichenko, Yuriy

This dissertation investigates the role of financial markets as a driving force behind business cycle fluctuations and studies effective monetary policy responses that mitigate the negative economic impact of such fluctuations. The first chapter empirically investigates the consequences of the 2007 interbank market freeze and provides a new theoretical framework to study the economic benefits and risks arising from complex financial networks. I use highly detailed proprietary microdata from the German Bundesbank to provide evidence that exposure to the US financial market had a negative impact across several measures on domestic German monetary financial institutions (MFIs) and their clients. I develop a dynamic stochastic general equilibrium model of the macroeconomy with a banking sector that intermediates funds between depositors and firms. I show that interbank fund transactions improve the allocation of household savings across the economy, but also affect its volatility by determining how sensitive the aggregate supply of credit becomes to individual-bank shocks. I use the model to provide estimates of the welfare contribution of the interbank market to the German economy and the costs of bank disintermediation that followed the 2007 financial crisis. I study the welfare benefits of standard monetary policy and central bank lender-of-last-resort interventions, and I find that policies that actively target the credit spread arising from the banking sector are more effective.The second chapter studies the historical (1868-1930 period) propagation of banking panics across the United States. I develop a partial equilibrium model of the interbank market consistent with the historical pyramidal reserve structure of deposits that was in place throughout the period. The model presents a simple tradeoff between an efficient allocation of bank funds and exposure to cross-border deposit fluctuations. I empirically estimate the dynamic spatial propagation of panics and I find that panics are accompanied by moderate but temporary drops in variables capturing banking sector activity, together with a robust spatial propagation consistent with the model. The third chapter investigates the welfare costs of the zero-lower bound (ZLB) on nominal interest rates and presents a theoretical New-Keynesian framework that incorporates the main empirical properties of ZLB spells. Employing a regime-switching (RS) risk-premium process to bring rates to the ZLB, I demonstrate how both frequency and duration of ZLB episodes can be jointly matched to realistic values. I find that duration exerts a strongly non-linear negative effect on welfare, which leads traditional models of the ZLB to seriously underestimate the costs of ZLB episodes. I conclude the chapter by discussing the optimal monetary policy inflation target and its relationship to the prevalence of ZLB episodes. I show that the optimum target lies at the point in which the marginal costs and benefits of trend inflation are equalized, and a calibration of the model to the U.S. economy generates optimal inflation mandates consistent with the 2% target commonly followed in most advanced economies.

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This thesis contains three chapters discussing different aspects of financial markets. The first chapter studies the impact of learning information about future non-fundamental shocks on stock price dynamics and provides a new insight into how rational speculators can cause inefficiency and volatility to stock markets during periods of information technology advancement. I construct an infinite-period competitive market model and analyze how an increase in non-fundamental signal precision affects trading strategy of rational investors, price formation, and efficiency. Contradicting to traditional rational speculative theory, I found that higher non-fundamental signal precision can increase stock return volatility, increase price sensitivity to both current and future non-fundamental shocks, and decrease price informativeness. Moreover, even though investors have better information about future stock prices, they can predict stock returns less accurately. This is because the investors expect that their future counterparts will also trade more aggressively on new non-fundamental information that arrives in the future, causing future stock prices to be endogenously more volatile to new non-fundamental shocks which are unpredictable to the investors at the present. The second chapter develops a game-theoretic dynamic model to study strategic dealer choice of buy-side investors in over-the-counter (OTC) secondary asset markets and provides a new theory of why periphery dealers, despite locating at inferior positions in OTC dealer network, can survive and co-exist with core dealers. My theory is based on a premise that buy-side investors form a non-binding long-term relationship with core dealers to obtain costly liquidity in bad periods. The main finding is that periphery dealers can help investors with infrequent liquidity needs, those who cannot form the relationship with core dealers directly due to commitment problem, successfully obtain costly liquidity in bad periods. By connecting with several investors and forming relationship with a core dealer on their behalf, periphery dealer will have enough power to pressure the core dealer to commit to the relationship. Therefore, investors with infrequent liquidity needs will trade with periphery dealers to obtain the benefit of long-term relationship, granting market power to periphery dealers to co-exist with core dealers. The third chapter develops a game-theoretic model to study strategic formation of financial network. In the model, a finite number of risk-averse agents who invest in risky projects can issue and trade forward contracts (i.e. assets) to obtain fractions of investment return of other agents. All trades are bilateral, each involving two parties with trading relationship privately bargaining on asset price and quantity. The main objective is to examine how structural properties of trading network determine trading decision of the agents and equilibrium asset allocation. To this end, I use the concept of line graph transformation to identify network of asset flows and map positions of trading links onto the equilibrium outcome. The main insight is that equilibrium asset allocation corresponds to a generalized Bonacich centrality of the network of asset flows.

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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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financial markets dissertations

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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80 Financial Markets Research Topics

FacebookXEmailWhatsAppRedditPinterestLinkedInWelcome, ambitious scholars, to the realm of academic exploration! Embarking on a journey of research and discovery is a hallmark of your educational endeavour. As you stand at the crossroads of your academic career, choosing research topics becomes the compass guiding your expedition. For those traversing the captivating landscape of Financial Markets, the selection of […]

Financial Markets Research Topics

Welcome, ambitious scholars, to the realm of academic exploration! Embarking on a journey of research and discovery is a hallmark of your educational endeavour. As you stand at the crossroads of your academic career, choosing research topics becomes the compass guiding your expedition. For those traversing the captivating landscape of Financial Markets, the selection of a compelling research topic for your undergraduate, master’s, or doctoral thesis/dissertation is a decision of paramount importance.

This blog post aims to be your guiding light, illuminating potential avenues of investigation that will captivate your interest and contribute meaningfully to the vast tapestry of financial knowledge.

A List Of Potential Research Topics In Financial Markets:

  • Real effects of financial market development on economic growth.
  • Role of UK pension funds in shaping financial market stability and long-term investment.
  • Merger and acquisition strategies: a comparative analysis of value creation.
  • Dynamic asset allocation strategies in changing market conditions.
  • Real estate investment trusts (REITs) performance in times of economic uncertainty.
  • Financial market bubbles and crashes: a historical review and comparative analysis.
  • Market reaction to shifting consumer spending patterns post-COVID.
  • Central bank digital currencies (CBDCs) and their potential impact on financial markets.
  • Market reaction to earnings announcements: a cross-sector analysis.
  • Pricing and hedging strategies for complex financial derivatives.
  • Evaluating the performance of factor-based investment strategies.
  • The future of fintech startups and innovation in a post-pandemic landscape.
  • Behavioural changes in retail investors and their effect on market volatility post-COVID.
  • Financial innovation and fintech ecosystem in the UK: lessons from London’s success.
  • Cross-border capital flows and exchange rate volatility.
  • Examining the link between oil prices and stock market returns.
  • Real estate market trends and investment opportunities in the UK.
  • Hedge fund strategies and their performance during bull and bear markets.
  • Cryptocurrency adoption and its implications for traditional financial markets.
  • Market sentiment analysis using social media data: opportunities and challenges.
  • Reshaping risk management practices in financial markets after the pandemic.
  • Behavioural biases in investment decision-making: an analytical review.
  • Impact of cross-listings on market liquidity and valuation.
  • Market efficiency in emerging economies: a comparative study.
  • Exploring the impact of high-frequency trading on market volatility.
  • Behavioural biases in cryptocurrency investment decision-making.
  • Sovereign debt crises: lessons from historical cases and their applicability today.
  • The efficient market hypothesis revisited: a contemporary review.
  • Regulatory changes in the UK financial markets: analysis and implications.
  • Quantitative vs. qualitative approaches in risk management: a review of methodologies.
  • The evolution of payment systems and their implications for financial markets.
  • Financial market integration in the European Union: trends and challenges.
  • Role of financial innovation in shaping market dynamics and risk exposure.
  • The resilience of financial markets in the wake of the COVID-19 pandemic.
  • Empirical methods for measuring financial market volatility: a comparative review.
  • Analyzing the effectiveness of ESG (Environmental, Social, Governance) factors in stock performance.
  • Evaluating the effectiveness of circuit breakers in mitigating market crashes.
  • Investor behaviour in times of UK political uncertainty: case studies.
  • The London Stock Exchange’s role as a global financial hub: challenges and prospects.
  • Exploring the effects of trade liberalization on emerging market economies.
  • Role of market microstructure in price discovery and market efficiency.
  • The role of algorithmic trading in modern financial markets.
  • The acceleration of digital transformation in financial services post-COVID.
  • The role of exchange-traded funds (ETFs) in market liquidity.
  • Market valuation of intellectual property and intangible assets.
  • Crisis communication strategies of financial institutions during the pandemic.
  • Role of financial markets in facilitating sustainable development goals (SDGs).
  • Yield curve analysis and its predictive power for economic recessions.
  • The changing landscape of financial intermediaries: a review of traditional and fintech models.
  • Market efficiency in the age of information overload.
  • Government stimulus packages and their influence on market recovery.
  • Corporate risk management practices in the face of market uncertainty.
  • The pricing efficiency of derivative instruments in forecasting market trends.
  • Systemic risk assessment frameworks: a comprehensive review.
  • Algorithmic trading and its regulatory implications.
  • Market reaction to Federal Reserve communications.
  • Dynamic correlations between bond and equity markets.
  • Behavioral finance insights into bubbles and market crashes.
  • The role of behavioural biases in investment decision-making.
  • The influence of central bank policies on exchange rate dynamics.
  • Market impact of global health crises: lessons from COVID-19.
  • Exchange rate volatility and its effects on UK-based multinational corporations.
  • Regulatory reforms in financial markets: an evaluation of effectiveness.
  • Investor sentiment and its role in predicting market trends.
  • Impact of regulatory changes on market liquidity and investor behaviour.
  • The rise of special purpose acquisition companies (SPACs) and their impact on IPOs.
  • Volatility spillovers between commodity and equity markets.
  • The link between corporate governance and firm valuation in financial markets.
  • Volatility index (VIX) as a predictor of market crashes.
  • Brexit and its impact on financial market integration between the UK and EU.
  • Credit rating agencies and their influence on bond market dynamics.
  • Market reactions to geopolitical events: case studies from the last decade.
  • Examining the impact of trade wars on global financial markets.
  • Evaluating the performance persistence of mutual funds in different market conditions.
  • Impact of remote work trends on financial market operations and efficiency.
  • Market response to central bank interventions during and after the pandemic.
  • Role of institutional investors in corporate governance and market stability.
  • Technological innovations and disruptions in financial markets.
  • Investigating the link between macroeconomic indicators and stock market returns.
  • Liquidity risk management in bond markets: lessons from recent crises.

In conclusion, Financial Markets offer a diverse and engaging landscape for dissertation research across various degree levels. Whether exploring intricate dynamics of derivatives pricing, analyzing behavioural biases in investment decisions, or dissecting the impact of regulatory interventions on market stability, the chosen research topics can potentially contribute valuable insights to the field. The evolving nature of financial markets underscores the need for continued scholarly investigation, as it advances academic understanding and equips market participants and policymakers with the knowledge needed to navigate an ever-changing economic landscape.

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Moscow's High Rise Bohemia: The International Business District With No Business

financial markets dissertations

  • Written by Dario Goodwin
  • Published on March 17, 2015

The Moscow International Business Center (Also known as Moskva-City ) was meant to be Russia ’s ticket into the Western world. First conceived in 1992, the district at the edge of Moscow’s city center is intended to contain up to 300,000 inhabitants, employees and visitors at any given moment and, when completed, will house over 4 million square meters of prime retail, hotel and office space to create what the Russian government desired most from this project: an enormous financial district that could dwarf London’s Canary Wharf and challenge Manhattan . Twenty three years later though, Moscow-based real estate company Blackwood estimates that as much as 45% of this new space is entirely vacant and rents have plummeted far below the average for the rest of Moscow. The only press Moskva-City is attracting is for tenants like the High Level Hostel , a hostel catering to backpackers and other asset-poor tourists on the 43rd floor of the Imperia Tower , with prices starting at $25.50 for a bed in a six-person room. This is not the glittering world of western high finance that was envisioned back in the post-Soviet 90s; but what has it become instead?

financial markets dissertations

As one might expect from a project of this sheer ambition, Moskva-City has a troubled past. The economic crash in 2008 hit Russia hard enough to evict the previous Mayor of Moscow , Yuri Luzhkov, who had been a cheerleader for the district, and replace him with the considerably more austere Sergei Sobyanin, who famously declared that the whole idea was an “urban planning mistake.” But as recently as 2013, the Wall Street Journal was triumphantly claiming that Moskva-City had risen from the dead, citing 80% occupancy rates and glowing quotes from industry insiders claiming that Moskva-City was the "place to be." Driven by record highs in oil prices, Moscow looked poised to become the next Dubai .

Instead, Moscow is now in the grip of an economic winter prompted by western sanctions and drops in the price of oil. The large financial groupings that Moskva-City was meant to shelter have been warned off by their inability to issue credit to international markets, for example - but Moskva-City isn’t just an Empire State Building left empty by the Great Depression.

A fundamental problem that is holding Moskva back compared to the rest of Moscow is the simple fact that currently, getting to Moskva-City is nigh-on impossible at peak hours. Moscow has long been plagued with transport problems, ever since the government failed to match the dramatic expansion of the city with a dramatic expansion of the transport system after the Second World War. Despite being only 2.5 miles from the Kremlin , Moskva-City is only just inside the ring road that bounds the city center and which acts as the only real transport link to it (and as a result, is clogged by construction vehicles.) A railway and metro hub has been finished, but so far only runs a one-stop shuttle service to the closest Metro station that is actually integrated with the rest of Moscow Metro. The isolation of the outer districts is a large, negative part of the Moscow psyche, and it’s not surprising that this is driving away the globetrotting financial elite this project was meant to attract.

financial markets dissertations

The project is managed by architectural practice No.6, which is a constituent part of the large Moscow based practice Mosproject-2 , which is itself a public corporation headed up by Mikhail Vasilyevich Posokhin, who is apparently the “People’s Architect of Russia.” Despite all this state involvement, the project has still managed to become bogged down in bureaucratic infighting - each lot is managed and developed individually, which has led to developers competing for occupants by slashing rates.

Much has been written about the way modern financial districts and towers that inhabit them can be unwelcoming, forbidding or even hostile by design, but the skyscrapers of Moskva-City seem even less friendly than usual. The site - a former stone quarry, chosen out of necessity as the only place in the city center where a new district could be plausibly constructed - is isolated both physically and visually, leaving the cluster a stark anomaly on the city skyline. Even the names seem more imposing than optimistic now: Imperia, City of Capitals , Steel Peak.

financial markets dissertations

The Mercury City Tower , so far the tallest completed building on the site, is officially “a strong reference to Russian constructivism, [which] gives the tower a strong vertical thrust similar to the one found in New York's Chrysler building .” It would be easy to criticize the Mercury City Tower for picking ‘inspirations’ that are so totally opposed to each other - The Chrysler building the defining emblem of American pre-crash confidence and Constructivism created with the express purpose (especially architecturally) of extending the Bolshevik revolution into a social revolution - but the way they smash those two inspirations together is almost beautifully ironic.

financial markets dissertations

Even though the High Level Hostel is less an asset to a financial district than it is a PR problem, it’s been a huge success since opening in September, already ranked 27th out of 766 hostels in Moscow by TripAdvisor. According to the management agency for Moskva-City , 58% of the new occupant signings this year have been non-financial, including a number of small to medium size businesses. Other areas of office space have been occupied by a restaurant and a culinary school, while another space has been redeveloped into a 6,000 seat theater.

While Moskva-City is failing to be a financial district that could take on the world, it’s inadvertently becoming a humanized space catering to the very groups that the Russian economic miracle left behind. Taking advantage of rents lower than the rest of Moscow , the world class facilities and the sheer desperation of the developers, the humanization of Moskva-City could well create the world’s first high-rise bohemia.

financial markets dissertations

Of course, these are not spaces designed for a community, or even for people: these are spaces designed for money, and there’s little scope for changing something that seems so baked into the design of Moskva-City . The High Level Hostel is trading off of the irony of being a hostel in a banking tower, but it’s perfectly possible that at some point people will no longer find this joke funny (especially in a building that seems hostile to the very idea of humor). The isolation of Moskva, even though it allowed this community to spring up in the first place, is just as detrimental to a humanized district as it is to a financial one: even bohemians need to move around the city, or the district risks becoming a black-spot instead of a hot-spot.

Moskva-City’s isolation won’t last forever. The end of construction will open the roads up to traffic, and plans to properly integrate the spur lines of the Metro in this area into the wider system are well under way. The integration of the district will inevitably push up rents, and the Russian economy will eventually boom once again. When that happens, Moskva-City is prime territory to be reconquered by the giants of international finance, and it seems unlikely that the municipal or national governments would want to step in to protect this accidental district. For now, though, the towers capture perfectly this moment of Russia ’s schizophrenic understanding of its place in the world.

financial markets dissertations

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Stock market today: Wall Street gains ahead of earnings, oil falls as Middle East tensions escalate

The front of the New York Stock Exchange is shown on Thursday, April 11, 2024 in New York. (AP Photo/Peter Morgan)

The front of the New York Stock Exchange is shown on Thursday, April 11, 2024 in New York. (AP Photo/Peter Morgan)

Currency traders work near the screen showing the Korea Composite Stock Price Index (KOSPI) at the foreign exchange dealing room of the KEB Hana Bank headquarters in Seoul, South Korea, Monday, April 15, 2024. (AP Photo/Ahn Young-joon)

A currency trader passes by the screen showing the Korea Composite Stock Price Index (KOSPI), left, and the foreign exchange rate between U.S. dollar and South Korean won at the foreign exchange dealing room of the KEB Hana Bank headquarters in Seoul, South Korea, Monday, April 15, 2024. (AP Photo/Ahn Young-joon)

A currency trader works near a screen reporting on Mideast tensions at the foreign exchange dealing room of the KEB Hana Bank headquarters in Seoul, South Korea, Monday, April 15, 2024. (AP Photo/Ahn Young-joon)

A currency trader works near the screen showing the Korea Composite Stock Price Index (KOSPI), left, and the foreign exchange rate between U.S. dollar and South Korean won at the foreign exchange dealing room of the KEB Hana Bank headquarters in Seoul, South Korea, Monday, April 15, 2024. (AP Photo/Ahn Young-joon)

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Coming off their worst week since October, markets on Wall Street pointed higher early Monday as investors got data from the government’s latest retail sales figures and a handful of high-profile earnings reports.

Futures for the S&P 500 and the Dow Jones Industrial Average each rose 0.6% before the bell.

Oil prices fell despite tensions roiling the Middle East, where an attack late Saturday marked the first time Iran had ever launched a military assault on Israel, despite decades of enmity dating back to the country’s 1979 Islamic Revolution.

A barrel of benchmark U.S. oil declined 70 cents to $84.96 a barrel. Brent crude, the international standard, lost 68 cents to $89.77. Slower demand from China, combined with forecasts that growth in supply is outpacing demand, has kept prices in check.

“While the drone attack has grabbed headlines, its immediate impact on global markets, particularly oil prices and inflation concerns, may be subdued,” Stephen Innes, managing partner at SPI Asset Management, said in a commentary. “The precision and limited lethal impact of Iran’s response suggest a strategic approach aimed at minimizing damage rather than escalating tensions.”

Nearly every sector showed gains early Monday, but none more than defense contractors. Lockheed Martin led the way, rising 1.8% before the bell.

A woman walks past an anti-Israeli banner on a building at the Felestin (Palestine) Square in downtown Tehran, Iran, Sunday, April 14, 2024. Israel on Sunday hailed its air defenses in the face of an unprecedented attack by Iran, saying the systems thwarted 99% of the more than 300 drones and missiles launched toward its territory. The sign in Hebrew reads: "Your next mistake will be the end of your fake country." The sign in Farsi reads: "The next slap will be harder." (AP Photo/Vahid Salemi)

In addition to retail sales data — which showed a strong 0.7% gain — investors will also get the latest financial results this week from Bank of America, United Airlines and Netflix.

Apple shares ticked down less than 1% after a report showed that the iPhone came in at No. 2 in phone deliveries in the first quarter, behind Samsung. Apple iPhone sales have faltered in China, causing concern for investors because of that country’s weakening economy and reports that the government there may prohibit its workers from buying iPhones.

In Europe at midday, Germany’s DAX and the CAC 40 in Paris each rose 1%, while in London, the FTSE 100 slipped 0.1%.

In Asian trading, Japan’s benchmark Nikkei 225 slipped 0.7% to 39,232.80.

In currency trading, the U.S. dollar rose to 153.89 Japanese yen from 153.07 yen, hitting another 34-year high as investors shifted toward the traditional haven in times of uncertainty. The euro cost $1.0652, up from $1.0635.

Australia’s S&P/ASX 200 dipped 0.4% to 7,754.50, while South Korea’s Kospi shed 0.4% to 2,670.43.

Hong Kong’s Hang Seng dropped 0.6% to 16,619.33. The Shanghai Composite gained 1.3% to 3,057.38 after the market regulators announced further measures to support the financial sector.

Elsewhere in Asia, Taiwan’s Taiex was 1.4% lower and the Sensex in India fell 0.8% as the country geared up for a lengthy national election process.

On Friday, shares fell on Wall Street following a mixed start to the earnings reporting season.

The S&P 500 sank 1.5%, closing out its worst week since October. The Dow Jones Industrial Average dropped 1.2% and the Nasdaq composite fell 1.6% from its record set the day before.

A stream of reports this year has shown both inflation and the overall economy remain hotter than expected. That’s forced traders to scale back forecasts for how many times the Federal Reserve may cut its main interest rate this year. Traders are largely betting on just two cuts, according to data from CME Group, down from forecasts for at least six at the start of the year.

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  1. PDF Essays on Information in Financial Markets

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    Information Propagation in Financial Markets, Garrett A. McBrayer. Theses/Dissertations from 2014 PDF. Essays on Moral Hazard, Bank Size, Influence, and Risk at the Federal Home Loan Banks, James Cash Acrey. PDF. Financial Crisis and the Supply of Corporate Credit, Jorge Santiago Emmanuel Barraza. PDF. Incentives and Firm Behaviors, Thu Hien ...

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    Chapter 2: The Rise and Risks of Private Credit . Chapter 2 assesses vulnerabilities and potential risks to financial stability in private credit, a rapidly growing asset class—traditionally focused on providing loans to mid-sized firms outside the realms of either commercial banks or public debt markets—that now rivals other major credit markets in size.

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    Horizonte Minerals looking at sale of Brazilian nickel mine as investors fear Indonesia is flooding the market

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