Академический Документы
Профессиональный Документы
Культура Документы
Forces for change in European Retail Banking; Analysis and implications for local commercial
banks.
Recent developments in the asset-liability management framework of banks in UK: A
comparative study.
The treatment of off-balance sheet activities in the UK banking industry.
Asset liability management in commercial banking: Theoretical and practical aspects.
What is an optimal capital structure for a retail bank?
The relationship with equity price and performance for the banking industry in the UK.
Boosting agricultural productivity through credit flow: role of retail and commercial banks.
Retail banking alternate delivery channels: nature, scope, analysis and future prospects for UK
Banks.
Financial services to the rural population: a study on the role of retail banks in the UK.
The evolution of commercial banking: Changes and preferences
Hedge Funds: The investing alternative for institutional investors and the advent on the retail
market.
Private equity market and the various investors in the UK.
The Growth of hedge funds: The reasons for a sustained progress and its effects on the UK
investments market.
An evaluation of the role and performance of UK capital markets as an alternative source to
bank finance.
Analysing the UK Investor behaviour in the Local Equity Market during the past 10 years.
The growing popularity of index and mutual funds.
The importance and significance of Corporate Social Responsibility for investment banks in UK.
Ethical issues in the banking industry in UK.
Recent developments in CSR activities by the banking industry participants in the UK.
A case study of social responsible banking.
Bank regimes and practices in CSR.
CSR is now less a choice and more of a necessity for businesses to flourish.
CSR has become a commercial imperative, a differentiator for the city and analysts to judge the
progressive nature of an organisation.
Guidance and reporting on a wide range of CSR issues in banking industry.
Terrorism financing and financial institutions.
An analysis of the retirement plans provided by local banks.
What are the practical implications to all organisations of implementing the International
Financial Reporting Standards in the UK?
Audit Committees and agency problems with the combined code.
An investigation into outsourcing accounting overseas from the US perspective.
An investigation into outsourcing accounting overseas from the UK perspective.
The balanced scorecard: The Holy Grail for legal firms?
Reporting on sustainability: what is the standard?
The Sarbanes-Oxley Act of 2002: is it capable of preventing future accounting scandals?
The increasing demand for disclosure of social and environmental information: Implications for
big organisations.
20. Market interest rate and commercial bank profitability in (country name)
21. Determinants of corporate dividend payout policy
22. Effects of free cash flow on profitability of firms
23. Fundamentals and stock return: Empirical study of cement industry in (country name)
24. Relationship between stock prices and rupee dollar parity in (country name)
25. The relation of credit risk rating with financial ratios in (country name)
26. Factor influencing individual investor behavior: the case of the stock exchange (e.g. New York Stock
Exchange)
27. Determinant of dividend payout ratio: A study of fertilizer sector
28. Fundamentals and stock returns in (country name)
29. The differential impact of Islamic banking on car loans and house financing through banks in (country
name)
30. A study on relationship between stock market development and economic growth in (country name)
31. Effects of mergers and acquisition in banking sector of (country name)
32. Impact of privatization of banks on profitability
33. The impact of interest rate risk on the profitability of Islamic and conventional banks
34. Relationship between cash flow and capital spending in pharmaceutical industry of (country name)
35. Effect of fund size on mutual fund performance
36. Comparison of financial performance in banking sector
37. Determinants of capital structure: A study of sugar and allied sector of (country name)
38. Can risk aversion indicator anticipate financial crises
39. Cash flow and capital spending relationship: evidence from automobile sector
40. Targeting consumer segment: A sustainable growth for mutual funds
41. Relating risk factors with contemporary distribution channels
42. Impact of privatization on profitability and efficiency of banks in (country name)
43. Money supply chain and stock prices
44. A comparative study between micro-finance banks, micro-finance institutions and rural support programs
in creating self-employment in (country name)
45. Validating of CAPM in predicting stock prices at stock exchange (e.g. New York Stock Exchange)
46. Fundamental variables and stock return: evidence from sugar and allied sector of (country name)
47. Which is better indicator of stock returns? Sales price, debt equity, book market or firm size
48. Mutual fund characteristics and its performance in (country name)
49. Debt and equity choice for funds
50. Capital investment and stock return
51. To study the relationship between price earning ratio and return on investment
52. A test of price earning ratio to predict future growths
53. Factors affect on the dividend payout ratio
54. To study relationship between price earning ratio and growth
55. Relationship between market factors and stock returns of sugar and allied industries of (country name)
56. To investigate the association between dividend change and companys earning in chemical industry of
(country name)
57. Determinants of capital structure in automobile sector of (country name)
58. Fund size and indicator of performance measurement for fixed income mutual fund
59. Factors that lead to investment in mutual funds
60. Predicting stock price via dividend discount model a study over cement sector
61. Impact of macro-economic variables on stock sector of (country name)
62. Performance evaluation of mutual funds in (country name)
63. Comparison between sales price, debt-equity and book market value of equity in analyzing stock returns
64. Relationship between cash flow and investment spending in textile industry
65. A test of price earning ratio to predict growth
66. Effects of free cash flow on investment of firms
67. An empirical analysis of long-run performance of IPOs in (country name)
68. Financial leverage and investment policy
69. Composition of board of directors and its impact on firms performance
70. Impact of taxation on firms dividend payout/ratio
71. Customer satisfaction in Ijara financing
72. Impact of acquisitions and mergers on firm performance in FMCG sectors
73. Share price volatility explicated by fundamental
74. Stock price and economic variables (interest rate, inflation and GDP)