Financial management Research Topics

By: Prof. Dr. Fazal Rehman | Last updated: February 3, 2024

Research Area/ Research Interest: Financial management

Research Paper Topics on Cost & Management Accounting for Masters and PhD Thesis and publication

  1. Financial management
  2. Regional Financial Management System of Regency/City Regional Original Income In Aceh Province Period Year 2016-2020
  3. Financial Management at Muhammadiyah Educational Institutions in Banjarmasin
  4. Financial Management System (QRIS) based on UTAUT Model Approach in Jabodetabek
  5.  Fundamentals of international financial management
  6.  Financial management for public, health, and not-for-profit organizations
  7. Understanding of Islamic banking financial management in the context of global economic competition
  8.  Research on Financial Informatization Construction of Business and Finance Integration
  9. ANALYSIS MODEL AND FINANCIAL DYNAMICS IN CASH MANAGEMENT IN ASRO INDONESIA NAVAL TECHNOLOGY COLLEGE POSTGRADUATE STUDENTS
  10.  Construction of a Digital Platform for Enterprise Financial Management Based on Visual Processing Technology
  11.  The Role of Financial Management in the Performance of Business Enterprises
  12.  Sustainable Financial Management in Japan and the US
  13. Public financial management for Sustainable Development Goals: Challenges, experiences and perspectives
  14. The Role of HRM Factors in Improving Performance Analysis of Local Government Financial Reports
  15.  The Implementation of Village Financial Management Principles in Escalating Indeks Desa Membangun (IDM) Level for Villages: Learning from The Jati Village …
  16. Design and Implementation of Financial Intelligent Data Management
  17. Ultimate ownership and bank competition
  18. Investor learning and mutual fund flows
  19. Diving into dark pools
  20. Are firms motivated to greenwash by financial constraints? Evidence from global firms’ data
  21. The Effect of Financial Literacy and Capital Management on MSME Performance
  22. Machine learning in finance: A topic modeling approach
  23. Bank bailouts, bail-ins, or no regulatory intervention? A dynamic model and empirical tests of optimal regulation and implications for future crises
  24. Bank lending networks and the propagation of natural disasters
  25. The Use O f Financial Management Practice By Batik Pekalongan MSMEs
  26. Voluntary disclosure of Sustainable Development Goals in mandatory non-financial reports: The moderating role of cultural dimension
  27. An exploratory analysis of financial wellness of trans-spectrum college students
  28. Earnings management and corporate performance in the scope of firm-specific features
  29. Administrative and legal regulation of public financial activity.
  30. Study on early warning of E-commerce enterprise financial risk based on deep learning algorithm
  31. Linguistic Data Analysis Using Nagel Point-Based Ranking Fuzzy Numbers for Financial Risk Management
  32. Predicting innovation capability through knowledge management in the banking sector
  33. Russia–Ukraine crisis: The effects on the European stock market
  34. Law enforcement spillover effects in the financial sector
  35. Does perception of social issues affect portfolio choices? Evidence from the# MeToo movement
  36.  Corporate finance: theory and practice
  37. Assessing the effect of financial literacy among managers on the performance of small-scale enterprises
  38. The impact of catholic religion on earnings management: A case of Poland
  39. Board Paper Recommendation Financial Headlines and Analysis Establishment of the Finance Function
  40. Performance, working capital management, and the liability of smallness: A question of opportunity costs?
  41. Grocery Apps and Consumer Purchase Behavior: Application of Gaussian Mixture Model and Multi-Layer Perceptron Algorithm
  42. Theoretical underpinnings of consumers’ financial capability research
  43.  Corporate finance: theory and practice
  44.  Sustainable Financial Practices in Belgium
  45. Pemanfaatan Financial Technology dalam Pengelolaan Keuangan pada UMKM di Wilayah Depok
  46. Reforms of Corporate Governance Codes in Bangladesh: Developments and Future Directions
  47. The impact of the financial risk measure on the market value growth rate of common stock
  48. Connectedness between Sectors: The Case of the Polish Stock Market before and during COVID-19
  49.  Fundamentals of Financial Instruments: An Introduction to Stocks, Bonds, Foreign Exchange, and Derivatives
  50. Financial capacity and organizational stability in US local governments
  51. Mapping the Literature on Social Responsibility and Stakeholders’ Pressures in the Mining Industry
  52.  The Organization
  53. The Effect of Mandatory Audit Firm Rotation on Earnings Management and Audit Fees: Evidence from Iran
  54.  Supply chain financial service management system based on block chain IoT data sharing and edge computing
  55. Analysis of Total Debt, Revenue and Net Profit on Stock Prices of Foods And Beverages Companies on the Indonesia Stock Exchange (IDX) Period 2018-2021
  56. The role of credit default swaps in determining corporate payout policy
  57.  Financial accounting: a managerial perspective
  58. Does Social Capital Foster Sustainable Investment?
  59. Financial Considerations II: Loans, Debt Management, Saving, and Investing
  60. Bibliometric Analysis in Islamic Social Finance and Covid-19 Research
  61.  FINANCIAL LITERACY FOR MICROFINANCE CLIENTS: A STEP TOWARDS FINANCIAL INCLUSION
  62. How do demographic and socioeconomic factors affect financial literacy and its variables?
  63.  Introduction to the Special Issue ‘Transnational and Transdisciplinary Lessons of COVID-19 from the Perspective of Risk and Management’
  64. The effect of female presence on corporate boards of directors on the value relevance of accounting amounts: empirical evidence from the European Union
  65. Me, myself and I: CEO narcissism and selective hedging
  66. Impact of corporate social responsibility on financial expert CEOs’ turnover in heavily polluting companies in Bangladesh
  67. Oil Price Uncertainty Shocks and Global Equity Markets: Evidence from a GVAR Model
  68. Possibilities of choosing the strategy of anti-crisis and competitive management based on the own economic potential of the enterprise
  69. Model interpretability of financial fraud detection by group SHAP
  70. Be good to be wise: Environmental, Social, and Governance awareness as a potential credit risk mitigation factor
  71. Board of director attributes: effects on financial performance in SMEs
  72. The Case Experience of Integrating the SDGs into Corporate Strategies for Financial Risk Management Based on Social Responsibility (with the Example of Russian …
  73. A Hybrid Method of MCDM for Evaluating Financial Performance of Vietnamese Commercial Banks Under COVID-19 Impacts
  74. Toward a new conceptualization of financial well-being
  75. Earnings Management: An Analysis of Corporate Strategy, Financial Performance, and Audit Quality
  76.  Designing and Validation the Optimal Model of Financial Literacy Curriculum for Junior High School Students
  77.  Financial and Management accounting
  78. New Year, New Challenges, New Opportunities
  79. Effect of Financial Control on Educational Sector Project Development: Evidence from Federal Polytechnic, Nasarawa
  80.  Corporate financial disclosure, 1900-1933: a study of management inertia within a rapidly changing environment
  81. The interplay of social influence, financial literacy, and saving behaviour among Saudi youth and the moderating effect of self-control
  82. Effect of Ownership Structure on Corporate Social Responsibility Disclosure on SRI-KEHATI Index Companies Listed on Indonesia Stock Exchange
  83.  Gender diversity and earnings management: the case of female directors with financial background
  84. Kernel regression coefficients for practical significance
  85. Effect of accounting information system on financial performance of firms: A review of literature
  86. The evolution of financial constraints
  87.  The Effect of Franchising and Dividend Payments in the US Restaurant Industry
  88. Help or Hurt? The Impact of ESG on Firm Performance in S&P 500 Non-Financial Firms
  89.  Efficient market hypothesis (EMH) and the Nigerian stock exchange in the midst of global financial crises
  90. Crowd Reactions to Entrepreneurial Failure in Rewards-Based Crowdfunding: A Psychological Contract Theory Perspective
  91. A bibliometric review of finance bibliometric papers
  92. An Investigation of the Link between Major Shareholders’ Behavior and Corporate Governance Performance before and after the COVID-19 Pandemic: A Case Study …
  93. Impact of Liquidity Coverage Ratio on Performance of Select Indian Banks
  94. Effect of parental financial teaching on college students’ financial attitude and behavior: The mediating role of self-esteem
  95. Organizational readiness for digital financial innovation and financial resilience
  96. Data-driven financial and operational risk management: Empirical evidence from the global tramp shipping industry
  97.  Independent financial expert members on audit committees, earnings management and the role of female directors
  98. Application of improved convolution neural network in financial forecasting
  99. Management of Financial and Business Activity of Personnel Enterprises
  100. Very good farmers, not particularly good business-people: A rural financial counsellor perspective on rural business failure
  101. Budgetary Allocations and Government Response to COVID-19 Pandemic in South Africa and Nigeria
  102. Is corporate governance a good predictor of SMEs financial performance? Evidence from developing countries (the case of Lebanon)
  103. Achieving Financial Sustainability through Revenue Diversification: A Green Pathway for Financial Institutions in Asia
  104. Systemic failures and organizational risk management in algorithmic trading: Normal accidents and high reliability in financial markets
  105. Determinants of Small and Medium Construction Firms’ Financial Performance
  106. Review of Systematic Financial Risk Research Based on Knowledge Map
  107. CFW-Boost Model for Cause-and-effect Analysis in Enterprise Financial Risk Warning
  108. Sustainable Blueprint: Do Stock Investors Increase Emissions?
  109. Libraries and financial literacy
  110. Conventional versus green investments: advancing innovation for better financial and environmental prospects
  111.  Impacts of human resource management and knowledge management on non-financial organizational performance: Evidence of Thai infrastructure …
  112. Euro area banks’ interest rate risk exposure to level, slope and curvature swings in the yield curve
  113. Efficient estimation of high-dimensional dynamic covariance by risk factor mapping: Applications for financial risk management
  114.  Pengaruh Penyajian Laporan Keuangan Daerah dan Aksesibilitas Laporan Keuangan Daerah Terhadap Transparansi dan Akuntabilitas Pengelolaan …
  115. CFO social ties to non-CEO senior managers and financial restatements
  116.  Bank Specific Risks and Financial Stability Nexus: Evidence From Pakistan
  117. An integrated framework of young adults’ subjective well-being: The roles of personality traits, financial responsibility, perceived Financial Capability, and race
  118. Enterprise Financial Risk Early Warning Using BP Neural Network Under Internet of Things and Rough Set Theory
  119. EFFECT OF CAPITAL STRUCTURE ON FINANCIAL PERFORMANCE OF SMALL TIERED DEPOSIT TAKING SAVINGS AND CREDIT COOPERATIVES SOCIETIES …
  120. Modeling the Impact of Corporate Risk Management on Firms’ Financial Performance and Sustainable Growth
  121. THE EFFECT OF INNOVATION AND INTELLECTUAL CAPITAL ON FINANCIAL PERFORMANCE OF WANGUN MOTOR USING MARKETING PERFORMANCE AS A …
  122. Environmental Sustainability: A 10-Year Bibliometric Analysis of the Developments in Management, Business, Finance and Economics
  123. Financial statement analysis
  124. An Application of Portfolio Mean-Variance and Semi-Variance Optimization Techniques: A Case of Fiji
  125.  Entrepreneurship and Small Business Management
  126. Corporate social responsibility and firm financial performance: the moderating effects of size and industry sensitivity
  127.  Human Resource Management in The Era of Artificial Intelligence: Future HR Work Practices, Anticipated Skill Set, Financial and Legal Implications
  128.  PLANNING AND FORECASTING OF FINANCIAL ACTIVITIES IN OSCHADBANK
  129. Fight Alone or Together? The Influence of Risk Perception on Helping Behavior
  130. Using machine learning methods to predict financial performance: Does disclosure tone matter?
  131. The implementation of waqf planning and development through Islamic financial institutions in Indonesia
  132.  Practice-relevant model validation: distributional parameter risk analysis in financial model risk management
  133.  Research on the Application of DM Technology with RF in Enterprise Financial Audit
  134.  Financial statement analysis: a practitioner’s guide
  135. Making Federal Financial Data More Reliable With Emerging Tech
  136. Critical mass and voice: Board gender diversity and financial reporting quality
  137. Modelling Genetic Benefits and Financial Costs of Integrating Biobanking into the Captive Management of Koalas
  138.  Does Bank Governance Reduce Financial Statement Fraud? The Moderating Role of Operational Risk
  139.  ASSESSING FINANCIAL RISK IN MANAGING PUBLIC-PARTNERSHIP (PPP) PROJECTS
  140. The Malady of Perpetual Municipal-finance Mismanagement: Designing a Leadership Framework as a Panacea
  141. Competition, proprietary costs of financial reporting, and financial statement comparability
  142. Cash flow forecasting using Continuous-Time Stochastic Processes
  143. Pathways to hybridization: Assimilation and accommodation of public financial reforms in Brazil
  144.  The Research of Multimedia Complex Intelligent System in Financial Reporting Mode
  145.  Direct financial assistance for improved maternal and child health data: a pilot study supporting the health management information system in Malawi
  146. Multidimensional perspective of green financial innovation between green intellectual capital on sustainable business: the case of Pakistan
  147.  … interests are in Carbon & Green Finance, Emerging Risks, Complexity Economics, Quantitative Risk Management and Financial Regulation in financial …
  148. TURNITIN_Competence and Work Environment Influences on Employees’ Motivation and Performance at Regional Financial and Asset Management Agency of the …
  149.  Sustainable Financial Practices in the UAE
  150. International Public Sector Accounting Standards (IPSASs): A systematic literature review and future research agenda
  151.  Risk management and capital adequacy
  152. Sustainable finance in Germany: mapping discourses, stakeholders, and policy initiatives
  153. Zombies: Who are they and how do firms become zombies?
  154.  Application of blockchain technology as a support tool in economic & financial development
  155. Do global factors drive the interconnectedness among green, Islamic and conventional financial markets?
  156. The Impact of Corporate Governance on Accounting Conservatism in the Financial Statements of Justice Shareholders: https://doi. org/10.37178/ca-c. 23.1. 025
  157. Beyond shareholder value maximization: Accounting for financial/social trade-offs in dual-purpose companies
  158.  Financial accounting theory
  159. Micro Financial Sharia Non-bank Strategic Analysis: a Study at BMT Beringharjo, Yogyakarta
  160. Financial statement fraud in Indonesia: a longitudinal study of financial misstatement in the pre-and post-establishment of financial services authority
  161. Financial Stability or Instability in their Golden Years: An Analysis of the Financial Preparedness of Malaysians
  162.  Retirement planning and financial literacy, at the crossroads. A bibliometric analysis
  163. The relationship between cognitive function and performance in instrumental activities of daily living in older adults
  164. Colombia-Financial Sector Assessment
  165. Using MS Power BI visualization and dashboard to improve financial reporting in a data analytics company
  166. An Inception Network with Bottleneck Attention Module for Deep Reinforcement Learning Framework in Financial Portfolio Management
  167. The effects of accounting expertise of board committees on the short-and long-term consequences of financial restatements
  168. FinDID: A DID service supporting the standard service scheme for the financial sector
  169.  A Study of Salaried Employees Financial Planning and Tax Savings Strategies
  170. Factors Affecting Disclosure of Internet Financial Reporting in The Government of The Bangka Belitung Islands
  171. A Primer on Rules of Origin as Non-Tariff Barriers
  172. Impact of Free Cash Flow on the Financial Performance: Evidence from Commercial Banks of Pakistan
  173. How does intelligent technology investment affect employment compensation and firm value in Chinese financial institutions?
  174.  THE DETERMINATION OF A FULLY INCLUSIVE WASTE MANAGEMENT COST FORMULA AND THE COMPLIANCE OF FINANCIAL INDICATORS WITH THE …
  175. … EFFECT OF RISK MANAGEMENT PRACTICE ON BUSINESS PERFORMANCE OF SMES DURING COVID-19 PANDEMIC, THE MEDIATING ROLE OF FINANCIAL …
  176.  A structural determinants framework for financial well-being
  177. On Financial Regulatory System Reforms from the Perspective of Financial Structure
  178. Obstacles to sustainable finance and the covid19 crisis
  179. Minority shareholders protection and corporate financial leverage: Evidence from a natural experiment in China
  180. CSR & financial performance: Facing methodological and modeling issues commentary paper to the eponymous FRL article collection
  181.  THE EFFECT OF HUMAN CAPITAL ON PERFORMANCE OF FINANCIAL INSTITUTIONS IN TANZANIA
  182. Thirty years of herd behavior in financial markets: A bibliometric analysis
  183. Hospital financial health and clinical choices: evidence from the financial crisis
  184. Dark triad managerial personality and financial reporting manipulation
  185. Green innovation on firm value with financial performance as mediating variable: Evidence of the mining industry
  186.  Do Access to Finance, Technical Know-How, and Financial Literacy Offer Women Empowerment Through Women’s Entrepreneurial Development?
  187. Digital lean operations: Smart automation and artificial intelligence in financial services
  188. The Effect of Organizational Culture on Financial Performance: Based on Cameron and Quinn Model (CVF)
  189.  M., Njoka, C.(2022). Credit lending policies and financial performance of Islamic banks in Kenya
  190.  The Use of Banks’ Financial Statements by Depositors and the Impact on Their Decision-Making: A Case from Lebanon
  191.  Digital financial inclusion: A gateway to sustainable development
  192. Financial viability of charcoal production in different forest management systems in Brazil
  193. Research and Development Investment of Would-Be Star Biotech Firms in a Financial Crisis
  194. Mitigation Strategies for COVID-19: Lessons from the K-SEIR Model Calibrated to the Observable Data
  195. The syndication of venture capital investments
  196. Assessment of Financial Conflicts of Interest Related to the Use of Dermal Substitutes in Burn Management
  197. Public sector reform in emerging economies: Does privatisation matter?
  198. Improving the Quality of Women’s Cooperative Financial Reports in the District of Anti Gresik Regency with Action Reserch Approach
  199. Does increased water efficiency improve financial performance? The important role of operational efficiency
  200. Determining dependence, centrality, and dynamic networks between green bonds and financial markets
  201. COVID-19 and Its Impact on Course Design of Finance Courses
  202.  Corporate governance and voluntary disclosures in annual reports: a post-International Financial Reporting Standard adoption evidence from an emerging …
  203.  Fundamentals of financial accounting
  204. A multi objective model integrating financial and material flow in supply chain master planning
  205.  EFFECT OF FINANCIAL LITERACY, EXPECTED RETURN, CAPITAL MARKET TRAINING, AND MINIMUM CAPITAL INVESTMENT ON BUYING INTEREST IN …
  206. Re-thinking about U: The relevance of regime-switching model in the relationship between environmental corporate social responsibility and financial performance
  207.  Corporate Governance, Financial Accounting Information and Control Mechanisms: A Way to Combat Corruption
  208.  FINANCIAL DISTRESS IN THE MINING INDUSTRY IN SOUTHEAST ASIA
  209. … Environment Using Smart Data to Improve Corporate Marketing, Business Strategies, Fraud Detection in Financial Services, and Financial Time Series Forecasting
  210.  A STUDY ON IMPACT OF MERGER AND ACQUISITION ON FINANCIAL PERFORMANCE OF AGRI-FOOD COMPANIES
  211. What’s Different about Bank Holding Companies?
  212. Sustainable health financing for COVID-19 preparedness and response in Asia and the Pacific
  213.  An empirical study of supply chain sustainability with financial performances of Indian firms
  214. Corporate social responsibility and firm financial performance: A literature review
  215.  Financial literacy and self employment–The moderating effect of gender and race
  216.  Green supply chain management/green finance: a bibliometric analysis of the last twenty years by using the Scopus database
  217. Personal control and financial well-being among the elderly: Moderating role of the big five
  218. The relationship between working capital management and profitability: evidence from South African retail and construction firms
  219.  A Risk Feature Recognition Method of Cross-Border Financial Derivatives’ Transaction Based on Fuzzy Support Vector Machine
  220. The impact of air pollution on financial reporting quality: evidence from China
  221. Performance of Indian banks in Indian financial system
  222.  Nonlinear valuation and non-Gaussian risks in finance
  223. A hybrid multiple-criteria decision portfolio with the resource constraints model of a smart healthcare management system for public medical centers
  224. Who did it matters: Executive equity compensation and financial reporting fraud
  225. Quality of working environment and corporate financial distress
  226. Tax haven incorporation and financial reporting transparency
  227. Corporate social responsibility disclosure (CSRD) and financial distressed risk (FDR): does institutional ownership matter?
  228. Analysis of PSAK 71 Implementation on Allowance for Impairment of Financial Assets
  229. Influences and transmission mechanisms of financial agglomeration on environmental pollution
  230. Volatility communicator or receiver? Investigating volatility spillover mechanisms among Bitcoin and other financial markets
  231.  Exploring the impact of sustainability (ESG) disclosure on firm value and financial performance (FP) in airline industry: the moderating role of size and age
  232. Fintech, cryptocurrencies, and CBDC: Financial structural transformation in China
  233. Determinants of financial performance: An evidence from Internet finance sector
  234. The Model of the Internal Monitoring Unit After the Determination of IAIN to Become a UIN
  235.  JJJ. 2021. Investment decisions with two-factor uncertainty
  236. Analyzing banking risk: a framework for assessing corporate governance and risk management
  237. Firm financial outcomes: The impact of technology leaders
  238.  An Efficient Outlier Detection with Deep Learning-Based Financial Crisis Prediction Model in Big Data Environment
  239. Corporate transformation toward Industry 4.0 and financial performance: The influence of environmental, social, and governance (ESG)
  240. Innovation and entrepreneurial ecosystems: fintech in the financial services industry
  241. Sovereign green bond and country value and risk: Evidence from European Union countries
  242.  From a Financial to an Entity Model of ESG
  243.  Managing a Nonprofit Organization: 40th Anniversary Revised and Updated Edition
  244.  Financial accounting theory and analysis: text and cases
  245. The Application of Herfindahl-Hirschman Index in Measuring the Concentration Level of Financial-Technology Industry
  246. Presidential address: Corporate finance and reality
  247. Asset reclassifications and bank recapitalization during the financial crisis
  248. Financial inclusion and bank profitability: Evidence from a developed market
  249. Corporate social responsibility and its overall effects on financial performance: Empirical evidence from Indian companies
  250. CEO awards and financial misconduct
  251. Are Smart Cities Too Expensive in the Long Term? Analyzing the Effects of ICT Infrastructure on Municipal Financial Sustainability
  252. Social work interventions in cancer care
  253. Developing a precautionary approach to financial policy: from climate to biodiversity
  254. Factors influencing attitudes and intention to adopt financial technology services among the end-users in Lagos State, Nigeria
  255. Quantile Connectedness: Modeling Tail Behavior in the Topology of Financial Networks
  256. Knowledge Management Maturity Assessment in Finance and IT Department PT XYZ
  257. Finance and Cost Management in the Process of Logistics 4.0
  258. Non-bank financial intermediaries and financial stability
  259.  Security as a key contributor to organisational resilience: a bibliometric analysis of enterprise security risk management
  260. The impact of Shariah Advisory Board characteristics on the financial performance of Islamic banks
  261. Reserve accumulation, growth and financial crises
  262. Financial education affects financial knowledge and downstream behaviors
  263. Financial Accounting
  264. Financial contagion intensity during the COVID-19 outbreak: A copula approach
  265. TAX LITERACY AND THE ROLE OF FINANCIAL KNOWLEDGE: A STUDY OF GOVERNMENT INITIATIVES AND INDIVIDUAL INVESTORS FROM DELHI NCR
  266. The role of formal and informal finance in the informal sector in Ghana
  267.  Money and Plan: Financial Aspects of East European Economic Reforms
  268. Exploring technological instantiation of regulatory practices in entangled financial markets
  269.  Security analysis and portfolio management
  270.  The impact of the global financial crisis on corporate cash holdings: Evidence from Eastern European countries
  271.  The Investigation of the Transformational Leadership Style Managers and Impact on the Financial Managerial Performance with the Modern Distributed Graph …
  272. The future of the regulatory space in local government audit: A comparative study of the four countries of the United Kingdom
  273.  Managing visitor attractions
  274. A contemporary review of Islamic finance and accounting literature
  275. Assessing Financial Performance of Mobile Banking Services Organization in Bangladesh
  276. DEFENCE EXPENDITURE AND FINANCIAL RESOURCES OF DEFENCE EXPENDITURE IN TURKEY: A COMPARATIVE CONCEPTUAL ANALYSIS
  277. The economic consequences of financial audit regulation in the charitable sector
  278.  Driverless Finance: Fintech’s Impact on Financial Stability
  279.  Health Care: Priorities and Management
  280. Management practices and mergers and acquisitions
  281.  Does the digital finance revolution validate the Environmental Kuznets Curve? Empirical findings from China
  282. Does foreign institutional ownership mediate the nexus between board diversity and the risk of financial distress? A case of an emerging economy of China
  283.  ESG practices and corporate financial performance: Evidence from Borsa Istanbul
  284. Corporate carbon and financial performance revisited
  285. AI in Finance: Challenges, Techniques, and Opportunities
  286. Analysis of Financial Distress Symptoms in the Company’s Performance: Bibliometric Studies
  287.  E-payment technology and business finance: A randomized controlled trial with mobile money
  288. The most consistent and reliable predictors of corporate financial choices in Pakistan: New evidence using BIC estimation
  289.  Small fish in big ponds: Connections of green finance assets to commodity and sectoral stock markets
  290.  A hybrid approach to the discrepancy in financial performance’s robustness
  291. Data Mining Techniques Research On Financial Statement
  292. When ‘green’challenges ‘prime’: empirical evidence from government bond markets
  293. Management disclosure of risk factors and COVID-19
  294. Assessing customer financial risk perception and attitude in the hotel industry: Exploring the role of protective measures against COVID-19
  295. The impact of digital finance on green innovation: resource effect and information effect
  296. Are Words Beneficial to the Consumption of Numbers in Financial Reports?
  297. Do Household Financial Behaviors affect Poverty in Indonesia?: Evidence from Indonesian Family Life Survey
  298. Information Asymmetry with Emphasis on the Role of Financial and Managerial Criteria Based on Fuzzy Logic and Artificial Neural Networks
  299.  Impact of Green financing, FinTech, and financial inclusion on energy efficiency
  300.  How are reinforcement learning and deep learning algorithms used for big data based decision making in financial industries–A review and research agenda
  301. Diversification and financialization of non-financial corporations: Evidence from China
  302. Financial statement complexity and bank lending
  303. The adoption of blockchain technology in the financial sector during the era of fourth industrial revolution: a moderated mediated model
  304.  Financial econometrics: Problems, models, and methods
  305. Digital financial literacy, current behavior of saving and spending and its future foresight
  306.  Bad Management Hypotheses Are Demolishing Management Practices
  307. Fit for Purpose? The Evolving Role of Stress Testing for Financial Systems
  308. Effect of entrepreneurial orientation and strategic orientations on financial and nonfinancial performance of small and medium enterprises in Saudi Arabia
  309. Finance and firm volatility: Evidence from small business lending in China
  310. Index-based Insurance to Mitigate Drought Financial Losses for Water Supply Sector
  311.  Pediatric palliative care parents’ distress, financial difficulty, and child symptoms
  312.  Statistical methods for decision support systems in finance: how Benford’s law predicts financial risk
  313. PENERAPAN MANAJEMEN RISIKO DALAM UPAYA MANAJEMEN RISIKO PENGEMBANGAN FINANCIAL ENGINEERING DALAM BISNIS
  314. … financial life shape emerging adulthood? Short-term longitudinal associations between perceived features of emerging adulthood, financial behaviors, and financial …
  315.  Blockchain applications in accounting and finance: qualitative Evidence from the banking sector
  316.  Assessing financial risk spillover and panic impact of COVID-19 on European and Vietnam stock market
  317. Household financial transaction data
  318. Building financial resilience through financial and digital literacy in South Asia and Sub-Saharan Africa
  319. It’s a Small World: The Importance of Social Connections with Auditors to Mutual Fund Managers’ Portfolio Decisions
  320.  Circular economy: Factors affecting the financial performance of product take-back systems
  321.  Values-based and global systemically important banks: Their stability and the impact of regulatory changes after the financial crisis on it
  322. How the Cryptocurrency Market is Connected to the Financial Market
  323. Financial time series forecasting with multi-modality graph neural network
  324.  Financial profitability of diversified farming systems: A global meta-analysis
  325. The pandemic and economic policy uncertainty
  326. A responsiveness view of logistics and supply chain management
  327. Dynamic trade finance in the presence of information frictions and fintech
  328. Financial reporting and employee job search
  329.  FINANCIAL LITERACY OF YOUNG AUSTRALIANS
  330. Financial literacy and entrepreneurial risk aversion
  331. Promoting China’s inclusive finance through digital financial services
  332. A micro-ethnographic study of Big Data-based innovation in the financial services sector: Governance, ethics and organisational practices
  333. Does nonprofit ownership matter for firm performance? Financial distress and ownership conversion of nursing homes
  334. Female representation in the academic finance profession
  335. Natural resources and financial development: Role of business regulations in testing the resource-curse hypothesis in ASEAN countries
  336.  Do chief executives matter in corporate financial and social responsibility performance nexus? A dynamic model analysis of Chinese firms
  337. Sustainable development, ESG performance and company market value: Mediating effect of financial performance
  338. Competing for talent: Firms, managers, and social networks
  339.  English Grammar & Composition
  340. Annamalai’s Binomial Identity and Theorem
  341. Safe havens in Islamic financial markets: COVID-19 versus GFC
  342.  Festival and special event management
  343. … Finance and Fintech: Can Technology Contribute to Achieving Environmental Goals? A Preliminary Assessment of ‘Green Fintech’and ‘Sustainable Digital Finance’
  344.  GENDER DIVERSITY AND FIRM FINANCIAL PERFORMANCE OF NIGERIAN LISTED BANKS: A MULTI THEORETIC APPROACH
  345.  Human resource management
  346. Capital structure, liquidity and financial performance of non financial firms listed at the Nairobi Securities Exchange
  347. A study of the tourism industry’s cash-driven resilience capabilities for responding to the COVID-19 shock
  348. The role of private finance in infrastructure development in South Africa—A critical assessment
  349. Bank financial reporting opacity and regulatory intervention
  350. Financial education and student financial literacy: A cross-country analysis using PISA 2012 data
  351. Does Financialization of Non-Financial Corporations Promote or Prohibit Corporate Risk-Taking?
  352. Pengaruh Kapasitas Sumber Daya Manusia, Pemanfaatan Teknologi Informasi Dan Sistem Pengendalian Intern Pemerintah Terhadap Kualitas Laporan Keuangan …
  353.  Volatility spillovers across NFTs news attention and financial markets
  354. Managerial leadership style and employee commitment: Evidence from the financial sector
  355. A proposed corporate distress and recovery prediction score based on financial and economic components
  356. The effect of women managers in the board of directors of companies on the integrated reporting: example of Istanbul Stock Exchange (ISE) Sustainability Index
  357. Factors affecting managers’ intention to adopt green supply chain management practices: evidence from manufacturing firms in Jordan
  358. Consumer financial literacy and the efficiency of mortgage-related decisions: New evidence from the Panel Study of Income dynamics
  359.  Comparative analysis of business strategy of Vietnamese real estate developers: the use of Hoffer matrix
  360. Dynamic large financial networks via conditional expected shortfalls
  361. Enhancing green finance for inclusive green growth: a systematic approach
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