Finance Dissertation Titles

Finance Dissertation Titles

Info: 672 words(1 pages)Finance Dissertation Titles
Published: 2nd August 2025 in Finance Dissertation Titles

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Introduction

The field of finance has changed dramatically in recent years due to new technologies, new regulations, and a new global economy. This dissertation will also examine the connections between emerging trends such as AI, blockchain, sustainable finance and FinTech, and impacts on financial markets, corporate governance as well as risk management practice.

Finance Dissertation Titles

1. The Impact of Artificial Intelligence on Financial Decision Making: An Investigation into Algorithmic Trading

Focus: This dissertation uses methods of inquiry to demonstrate the impact of AI and machine-learning algorithms on financial decision-making. In each section, the efficiencies, accuracy and/or implications on financial markets will be looked at.

2. Blockchain and Cryptocurrency: The Future of Digital Payments and Financial Inclusion

Focus: This dissertation evaluates the opportunities blockchain and cryptocurrencies afford to transform the digital payments system, as well as the implications for financial inclusion in developing countries and areas with limited banking systems.

3. Financial Risk Management: A Review of Traditional Risk Management and Contemporary Risk Management Approaches

Focus: This dissertation will review the feasibility of traditional risk management approaches (i.e. value-at-risk and other common practices) with novel risk management methods (e.g. machine learning predictive modelling techniques) to explore the complexities of financial risks across various sectors.

4. Corporate Governance, Financial Performance: An analysis of the relationship between Board Structure and Profitability

Focus: This dissertation analyzes the relationship between corporate governance systems that contain Board Structure and Compensation, corporate financial performance in multiple sectors with a focus on profitability and sustainability.

5. Sustainable Finance: The Integration of Environmental, Social and Governance (ESG) Factors in Investment Processes

Focus: This research explores the integration of ESG criteria into an organization’s investment strategy and how this affects corporate financial performance, as well as how sustainable finance is replacing traditional models as a leading investment consideration globally.

6. Fintech Disruption: Impacts of Fintech Start-Up Firms on Traditional Banks

Focus: This PhD project considers the impacts of fintech start-up firms and the disruptive impacts they have on traditional banks with the benefits, disadvantages and implications for regulation of introducing another financial innovation into such a large financial market.

7. Global financial crises: The implications of the 2008 financial crisis on the markets

Focus: This study analyzes the implications of global financial crises on societal implications for financial markets, investor behavior, and government responses by inferring from implications of the 2008 global financial crisis and its resolution and appropriate planning for future financial disasters based on previous lessons learnt.

8. Assessing the Efficacy of Microfinance Institutions in Alleviating Poverty: Case Studies of Developing Countries

Focus: This dissertation investigates the degree to which successful microfinance institutions have improved access to financial services for marginalized groups, globally, and whether they have actually alleviated poverty in developing countries.

9. Behavioral Finance: The Role of Investor Psychology on Financial Markets

Focus: This research considers the psychological factors that impact institutions’ and individuals’ financial decisions and whether they, in turn, impact, or do not impact, financial markets and assets prices through emotions, heuristics, and biases.

10. Global Finance Regulation: The success of International Financial Institutions in creating and establishing stability within Financial Markets

Focus: This dissertation examines IFI’s (IMF and World Bank) role towards creating global financial market regulation on a broad basis, but with a distinct focus on the ability of these institutions to institute market stability during periods of volatility and crisis.
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References:

  1. Olanrewaju, A. G. (2025). Artificial Intelligence in Financial Markets: Optimizing Risk Management, Portfolio Allocation, and Algorithmic Trading. International Journal of Research Publication and Reviews6, 8855-8870. Management_Portfolio_Allocation_and_Algorithmic_Trading/links/67ea0ab595231d5ba5a4a011/Artificial-Intelligence-in-Financial-Markets-Optimizing-
    Risk-Management-Portfolio-Allocation-and-Algorithmic-Trading.pdf”>https://www.researchgate.net/profile/Ayobami-Olanrewaju-4/publication/390321542_Artificial_Intelligence_in_Financial_Markets_Optimizing_
    Risk_Management_Portfolio_Allocation_and_Algorithmic_Trading/links/67ea0ab595231d5ba5a4a011/Artificial-Intelligence-in-Financial-Markets-Optimizing-Risk-Management-Portfolio-Allocation-and-Algorithmic-Trading.pdf
  2. Chandel, S., & Chandel, S. (2025). The Role of Digital Payment Systems in Advancing Financial Inclusion in India. Cureus Journals2(1). https://assets.cureusjournals.com/artifacts/upload/original_article/pdf/3950/20250724-46504-93w9ar.pdf
  3. Nafiu, A., Balogun, S. O., Oko-Odion, C., & Odumuwagun, O. O. (2025). Risk management strategies: Navigating volatility in complex financial market environments. World Journal of Advanced Research and Reviews25(1), 236-250. https://eprint.scholarsrepository.com/id/eprint/60/
  4. Dioquino, J. R. Assessing the Efficiency of Microfinance Institutions in Delivering Services to Micro and Small Enterprises. https://etcor.org/storage/iJOINED/Vol.%20IV(2),%20781-793.pdf
  5. Komorowski, J., & Komorowski, P. (2025). International financial system versus economic stability. In International Economic Policy for the Polycrisis. Taylor & Francis. https://library.oapen.org/handle/20.500.12657/93287

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