investment analysis research paper topics

Research Topics & Ideas: Finance

Dissertation Coaching

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.

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 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 

Private Coaching

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

Need a helping hand?

investment analysis research paper topics

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. 

Research Topic Bootcamp

Find The Perfect Research Topic

How To Choose A Research Topic: 5 Key Criteria

How To Choose A Research Topic: 5 Key Criteria

How To Choose A Research Topic Step-By-Step Tutorial With Examples + Free Topic...

Research Topics & Ideas: Automation & Robotics

Research Topics & Ideas: Automation & Robotics

A comprehensive list of automation and robotics-related research topics. Includes free access to a webinar and research topic evaluator.

Research Topics & Ideas: Sociology

Research Topics & Ideas: Sociology

Research Topics & Ideas: Sociology 50 Topic Ideas To Kickstart Your Research...

Research Topics & Ideas: Public Health & Epidemiology

Research Topics & Ideas: Public Health & Epidemiology

A comprehensive list of public health-related research topics. Includes free access to a webinar and research topic evaluator.

Research Topics & Ideas: Neuroscience

Research Topics & Ideas: Neuroscience

Research Topics & Ideas: Neuroscience 50 Topic Ideas To Kickstart Your Research...

📄 FREE TEMPLATES

Research Topic Ideation

Proposal Writing

Literature Review

Methodology & Analysis

Academic Writing

Referencing & Citing

Apps, Tools & Tricks

The Grad Coach Podcast

hamza mashaqby

thank you for suggest those topic, I want to ask you about the subjects related to the fintech, can i measure it and how?

Zeleke Getinet Alemayehu

Please guide me on selecting research titles

Tweety

I am doing financial engineering. , can you please help me choose a dissertation topic?

AGBORTABOT BRANDON EBOT

I’m studying Banking and finance (MBA) please guide me on to choose a good research topic.

Md. Ahsan Habib

I am studying finance (MBA) please guide me to choose a good research topic.

Fatma Ali

I’m studying Master in Islamic Banking and Finance.

Can you suggest a good research topic. Please

I’m doing Masters in Islamic Banking and Finance. Would you kindly suggest a good research topic. Please

Esther Banuseiwe

Hi Amen doing MBA in accounting and finance. Could you please subject a good research topic for me. Thanks

Submit a Comment Cancel reply

Your email address will not be published. Required fields are marked *

Save my name, email, and website in this browser for the next time I comment.

Submit Comment

investment analysis research paper topics

  • Print Friendly

Impact of Artificial Intelligence on Investment: A Narrative Review

  • Conference paper
  • First Online: 14 March 2024
  • Cite this conference paper

investment analysis research paper topics

  • Hamed Taherdoost 8 &
  • George Drazenovic 8  

Part of the book series: Algorithms for Intelligent Systems ((AIS))

Included in the following conference series:

  • International Conference on Engineering, Applied Sciences and System Modeling

195 Accesses

Investment is one of the many industries that artificial intelligence (AI) has transformed. AI's use in investment decision-making has significantly advanced the field and transformed the conventional investment techniques and practices. This review investigates how AI has changed the way people make investing decisions. This study analyzes the machine learning methods, including supervised and unsupervised learning, and quantitative strategies like high-frequency trading and algorithmic trading based on AI. The use and integration of AI in the investment sector are also covered in the assessment, emphasizing how it might improve performance, efficiency, risk management, and the identification of new prospects. In investing, more research attention should be dedicated to ethical considerations and the appropriate application of AI technologies.

This is a preview of subscription content, log in via an institution to check access.

Access this chapter

Subscribe and save.

  • Get 10 units per month
  • Download Article/Chapter or eBook
  • 1 Unit = 1 Article or 1 Chapter
  • Cancel anytime
  • Available as PDF
  • Read on any device
  • Instant download
  • Own it forever
  • Available as EPUB and PDF
  • Durable hardcover edition
  • Dispatched in 3 to 5 business days
  • Free shipping worldwide - see info

Tax calculation will be finalised at checkout

Purchases are for personal use only

Institutional subscriptions

Alnamrouti A, Rjoub H, Ozgit H (2022) Do strategic human resources and artificial intelligence help to make organizations more sustainable? Evidence from non-governmental organizations. Sustainability 14(12):7327

Article   Google Scholar  

Han Y et al (2023) The impact of artificial intelligence on the financial services industry. Acad J Manag Soc Sci 2(3):83–85

Google Scholar  

Taherdoost H (2023) Fintech: emerging trends and the future of finance. In: Financial technologies and DeFi: a revisit to the digital finance revolution. pp 29–39

Davenport TH, Ronanki R (2018) Artificial intelligence for the real world. Harv Bus Rev 96(1):108–116

Chester AN (1994) Aligning technology with business strategy. Res Technol Manag 37(1):25–32

Brynjolfsson E, Hitt LM (2000) Beyond computation: Information technology, organizational transformation and business performance. J Econ Perspect 14(4):23–48

Attaran M (2004) Exploring the relationship between information technology and business process reengineering. Inf Manag 41(5):585–596

Lagarde C (2018) Central banking and fintech: a brave new world. Innov: Technol Gov Glob 12(1–2):4–8

Erdélyi OJ, Goldsmith J (2018) Regulating artificial intelligence: proposal for a global solution. In: Proceedings of the 2018 AAAI/ACM conference on AI, ethics, and society

Russell SJ (2010) Artificial intelligence a modern approach. Pearson Education, Inc

Vallor S, Bekey GA (2017) Artificial intelligence and the ethics of self-learning robots

Shane S (2000) Prior knowledge and the discovery of entrepreneurial opportunities. Organ Sci 11(4):448–469

York JG, Hargrave TJ, Pacheco DF (2016) Converging winds: logic hybridization in the Colorado wind energy field. Acad Manag J 59(2):579–610

Petkova AP et al (2014) Reputation and decision making under ambiguity: a study of US venture capital firms’ investments in the emerging clean energy sector. Acad Manag J 57(2):422–448

Moghaddam AH, Moghaddam MH, Esfandyari M (2016) Stock market index prediction using artificial neural network. J Econ Financ Adm Sci 21(41):89–93

Patel J et al (2015) Predicting stock and stock price index movement using trend deterministic data preparation and machine learning techniques. Expert Syst Appl 42(1):259–268

Sun Z, Zhao S (2019) A review of the application of machine learning in stock investment. In: The 4th international conference on Humanities Science, Management, and Education Technology (HSMET 2019). Atlantis Press

Yang X, et al (2020) Qlib: an ai-oriented quantitative investment platform. arXiv:2009.11189

Röhm S, Bick M, Boeckle M (2022) The impact of artificial intelligence on the investment decision process in venture capital firms. In: International conference on human-computer interaction. Springer

Buczynski W, Cuzzolin F, Sahakian B (2021) A review of machine learning experiments in equity investment decision-making: why most published research findings do not live up to their promise in real life. Int J Data Sci Anal 11:221–242

Taherdoost H, Madanchian M (2023) Artificial intelligence and sentiment analysis: a review in competitive research. Computers 12(2):37

Shanmuganathan M (2020) Behavioural finance in an era of artificial intelligence: longitudinal case study of robo-advisors in investment decisions. J Behav Exp Financ 27:100297

Chen C et al (2020) Financial quantitative investment using convolutional neural network and deep learning technology. Neurocomputing 390:384–390

Clark C (2010) Controlling risk in a lightning-speed trading environment. Chicago Fed Lett 272

Srihith ID, et al. Trading on autopilot: the rise of algorithmic trading

Zhu P et al (2022) Leveraging enterprise knowledge graph to infer web events’ influences via self-supervised learning. J Web Semant 74:100722

López de Prado M, Lewis MJ (2019) Detection of false investment strategies using unsupervised learning methods. Quant Financ 19(9):1555–1565

Palupi I, Wahyudi BA, Indwiarti I (2019) The clustering algorithms approach for decision efficiency in investment portfolio diversification. In: 2019 7th International Conference on Information and Communication Technology (ICoICT). IEEE

Westerlind S (2018) Anomaly detection for portfolio risk management: a evaluation of econometric and machine learning based approaches to detecting anomalous behavior in portfolio risk measures.

Atiqah Rochin Demong N, Lu J, Khadeer Hussain F (2021) An adaptive personalized property investment risk analysis method based on data-driven approach. Int J Inf Technol & Decis Mak 20(02):671–706

Download references

Author information

Authors and affiliations.

University Canada West, Department of Arts, Communications and Social Sciences, Vancouver, Canada

Hamed Taherdoost & George Drazenovic

You can also search for this author in PubMed   Google Scholar

Corresponding author

Correspondence to Hamed Taherdoost .

Editor information

Editors and affiliations.

Faculty of Innovation and Technology, Taylor’s University, Subang Jaya, Selangor, Malaysia

David Asirvatham

University of Southeast Norway, Notodden, Norway

Francisco M. Gonzalez-Longatt

Gdansk University of Technology, Gdańsk, Poland

Przemyslaw Falkowski-Gilski

Professor of Computer Engineering, Papua New Guinea University of Technology, Lae, Papua New Guinea

R. Kanthavel

Rights and permissions

Reprints and permissions

Copyright information

© 2024 The Author(s), under exclusive license to Springer Nature Singapore Pte Ltd.

About this paper

Cite this paper.

Taherdoost, H., Drazenovic, G. (2024). Impact of Artificial Intelligence on Investment: A Narrative Review. In: Asirvatham, D., Gonzalez-Longatt, F.M., Falkowski-Gilski, P., Kanthavel, R. (eds) Evolutionary Artificial Intelligence. ICEASSM 2017. Algorithms for Intelligent Systems. Springer, Singapore. https://doi.org/10.1007/978-981-99-8438-1_20

Download citation

DOI : https://doi.org/10.1007/978-981-99-8438-1_20

Published : 14 March 2024

Publisher Name : Springer, Singapore

Print ISBN : 978-981-99-8437-4

Online ISBN : 978-981-99-8438-1

eBook Packages : Intelligent Technologies and Robotics Intelligent Technologies and Robotics (R0)

Share this paper

Anyone you share the following link with will be able to read this content:

Sorry, a shareable link is not currently available for this article.

Provided by the Springer Nature SharedIt content-sharing initiative

  • Publish with us

Policies and ethics

  • Find a journal
  • Track your research

Information

  • Author Services

Initiatives

You are accessing a machine-readable page. In order to be human-readable, please install an RSS reader.

All articles published by MDPI are made immediately available worldwide under an open access license. No special permission is required to reuse all or part of the article published by MDPI, including figures and tables. For articles published under an open access Creative Common CC BY license, any part of the article may be reused without permission provided that the original article is clearly cited. For more information, please refer to https://www.mdpi.com/openaccess .

Feature papers represent the most advanced research with significant potential for high impact in the field. A Feature Paper should be a substantial original Article that involves several techniques or approaches, provides an outlook for future research directions and describes possible research applications.

Feature papers are submitted upon individual invitation or recommendation by the scientific editors and must receive positive feedback from the reviewers.

Editor’s Choice articles are based on recommendations by the scientific editors of MDPI journals from around the world. Editors select a small number of articles recently published in the journal that they believe will be particularly interesting to readers, or important in the respective research area. The aim is to provide a snapshot of some of the most exciting work published in the various research areas of the journal.

Original Submission Date Received: .

  • Active Journals
  • Find a Journal
  • Proceedings Series
  • For Authors
  • For Reviewers
  • For Editors
  • For Librarians
  • For Publishers
  • For Societies
  • For Conference Organizers
  • Open Access Policy
  • Institutional Open Access Program
  • Special Issues Guidelines
  • Editorial Process
  • Research and Publication Ethics
  • Article Processing Charges
  • Testimonials
  • Preprints.org
  • SciProfiles
  • Encyclopedia

sustainability-logo

Article Menu

investment analysis research paper topics

  • Subscribe SciFeed
  • Recommended Articles
  • Google Scholar
  • on Google Scholar
  • Table of Contents

Find support for a specific problem in the support section of our website.

Please let us know what you think of our products and services.

Visit our dedicated information section to learn more about MDPI.

JSmol Viewer

Investment intention and decision making: a systematic literature review and future research agenda.

investment analysis research paper topics

1. Introduction

2. methodology, 2.1. the review protocol—prisma, 2.2. formulation of research questions, 2.3. systematic searching strategies, 2.3.1. identification, 2.3.2. screening, 2.3.3. eligibility, 2.4. data extraction, 3. results and discussion, 3.1. bibliometric analysis, 3.2. weight analysis, 3.3. content analysis, 3.3.1. personal factors, 3.3.2. social factors, 3.3.3. market information, 3.3.4. firm-specific factors, 3.3.5. product-related factors, 3.3.6. other factors, 4. recommendations and future research agenda, 4.1. theory, 4.2. context, 4.3. constructs, 4.4. method, 5. conclusions, author contributions, institutional review board statement, informed consent statement, conflicts of interest.

  • Lim, K.L.; Soutar, G.N.; Lee, J.A. Factors Affecting Investment Intentions: A Consumer Behaviour Perspective. J. Financ. Serv. Mark. 2013 , 18 , 301–315. [ Google Scholar ] [ CrossRef ]
  • Kishan, K.; Alfan, E. Financial Statement Literacy of Individual Investors in China. Int. J. China Stud. 2018 , 9 , 3–28. [ Google Scholar ]
  • Divanoğlu, S.U.; Bağci, H. Determining the Factors Affecting Individual Investors’ Behaviours. Int. J. Organ. Leadersh. 2018 , 7 , 284–299. [ Google Scholar ] [ CrossRef ]
  • Yang, M.; Al Mamun, A.; Mohiuddin, M.; Al-Shami, S.S.A.; Zainol, N.R. Predicting Stock Market Investment Intention and Behavior among Malaysian Working Adults Using Partial Least Squares Structural Equation Modeling. Mathematics 2021 , 9 , 873. [ Google Scholar ] [ CrossRef ]
  • Shehata, S.M.; Abdeljawad, A.M.; Mazouz, L.A.; Aldossary, L.Y.K.; Alsaeed, M.Y.; Sayed, M.N. The Moderating Role of Perceived Risks in the Relationship between Financial Knowledge and the Intention to Invest in the Saudi Arabian Stock Market. Int. J. Financ. Stud. 2021 , 9 , 9. [ Google Scholar ] [ CrossRef ]
  • Raut, R.K.; Kumar, R.; Das, N. Individual Investors’ Intention towards SRI in India: An Implementation of the Theory of Reasoned Action. Soc. Responsib. J. 2020 . ahead-of-print . [ Google Scholar ] [ CrossRef ]
  • Raut, R.K. Past Behaviour, Financial Literacy and Investment Decision-Making Process of Individual Investors. Int. J. Emerg. Mark. 2020 , 15 , 1243–1263. [ Google Scholar ] [ CrossRef ]
  • Akhtar, F.; Das, N. Predictors of Investment Intention in Indian Stock Markets. Int. J. Bank Mark. 2019 , 37 , 97–119. [ Google Scholar ] [ CrossRef ]
  • Lai, C.-P.P. Personality Traits and Stock Investment of Individuals. Sustainability 2019 , 11 , 5474. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Çal, B.; Lambkin, M. Stock Exchange Brands as an Influence on Investor Behavior. Int. J. Bank Mark. 2017 , 35 , 391–410. [ Google Scholar ] [ CrossRef ]
  • Raut, R.K.; Das, N. Individual Investors’ Attitude towards Online Stock Trading: Some Evidence from a Developing Country. Int. J. Econ. Bus. Res. 2017 , 14 , 254. [ Google Scholar ] [ CrossRef ]
  • Sivaramakrishnan, S.; Srivastava, M.; Rastogi, A. Attitudinal Factors, Financial Literacy, and Stock Market Participation. Int. J. Bank Mark. 2017 , 35 , 818–841. [ Google Scholar ] [ CrossRef ]
  • Cao, M.M.; Nguyen, N.T.; Tran, T.T. Behavioral Factors on Individual Investors’ Decision Making and Investment Performance: A Survey from the Vietnam Stock Market. J. Asian Financ. Econ. Bus. 2021 , 8 , 845–853. [ Google Scholar ] [ CrossRef ]
  • Khawaja, M.J.; Alharbi, Z.N. Factors Influencing Investor Behavior: An Empirical Study of Saudi Stock Market. Int. J. Soc. Econ. 2021 , 48 , 587–601. [ Google Scholar ] [ CrossRef ]
  • Raut, R.K.; Das, N.; Mishra, R. Behaviour of Individual Investors in Stock Market Trading: Evidence from India. Glob. Bus. Rev. 2020 , 21 , 818–833. [ Google Scholar ] [ CrossRef ]
  • Moueed, A.; Hunjra, A.I. Use Anger to Guide Your Stock Market Decision-Making: Results from Pakistan. Cogent Econ. Financ. 2020 , 8 , 1733279. [ Google Scholar ] [ CrossRef ]
  • Qasim, M.; Hussain, R.Y.; Mehboob, I.; Arshad, M. Impact of Herding Behavior and Overconfidence Bias on Investors’ Decision-Making in Pakistan. Accounting 2019 , 5 , 81–90. [ Google Scholar ] [ CrossRef ]
  • Rasheed, M.H.; Rafique, A.; Zahid, T.; Akhtar, M.W. Factors Influencing Investor’s Decision Making in Pakistan: Moderating the Role of Locus of Control. Rev. Behav. Financ. 2018 , 10 , 70–87. [ Google Scholar ] [ CrossRef ]
  • Shah, S.Z.A.; Ahmad, M.; Mahmood, F. Heuristic Biases in Investment Decision-Making and Perceived Market Efficiency: A Survey at the Pakistan Stock Exchange. Qual. Res. Financ. Mark. 2018 , 10 , 85–110. [ Google Scholar ] [ CrossRef ]
  • Mak, M.K.Y.; Ip, W. An Exploratory Study of Investment Behaviour of Investors. Int. J. Eng. Bus. Manag. 2017 , 9 , 184797901771152. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Sumiati, A.; Widyastuti, U.; Takidah, E. Suherman The Millennials Generation’s Intention to Invest: A Modified Model of the Theory of Reasoned Action. Int. J. Entrep. 2021 , 25 , 1–11. [ Google Scholar ]
  • Mahdzan, N.S.; Zainudin, R.; Yoong, S.C. Investment Literacy, Risk Tolerance and Mutual Fund Investments: An Exploratory Study of Working Adults in Kuala Lumpur. Int. J. Bus. Soc. 2020 , 21 , 111–133. [ Google Scholar ] [ CrossRef ]
  • Annamalah, S.; Raman, M.; Marthandan, G.; Logeswaran, A.K. An Empirical Study on the Determinants of an Investor’s Decision in Unit Trust Investment. Economies 2019 , 7 , 80. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Alhorani, A. Factors Affecting the Financial Investors’ Decision in the Adoption of Mutual Funds. Manag. Sci. Lett. 2019 , 9 , 2269–2276. [ Google Scholar ] [ CrossRef ]
  • Paliwal, S.; Bhadauria, S.; Singh, S.P. Determinants of Mutual Funds Investment Intentions: Big Five Personality Dimension. Purushartha - A J. Manag. Ethics Spiritual. 2018 , 11 , 39–49. [ Google Scholar ] [ CrossRef ]
  • Kaur, I.; Kaushik, K.P.P. Determinants of Investment Behaviour of Investors towards Mutual Funds. J. Indian Bus. Res. 2016 , 8 , 19–42. [ Google Scholar ] [ CrossRef ]
  • Ashidiqi, C.; Arundina, T. Indonesia Students’s Intention to Invest in Sukuk: Theory of Planned Behaviour Approach. Int. J. Econ. Res. 2017 , 14 , 395–407. [ Google Scholar ]
  • Dewi, M.K.; Tamara, D. The Intention to Invest in Retail Bonds in Indonesia. Acad. J. Interdiscip. Stud. 2020 , 9 , 188. [ Google Scholar ] [ CrossRef ]
  • Duqi, A.; Al-Tamimi, H. Factors Affecting Investors’ Decision Regarding Investment in Islamic Sukuk. Qual. Res. Financ. Mark. 2019 , 11 , 60–72. [ Google Scholar ] [ CrossRef ]
  • Khan, S.U.; Khan, I.I.U.; Khan, I.I.U.; Din, S.U.; Khan, A.U. Evaluating ṣukūk Investment Intentions in Pakistan from a Social Cognitive Perspective. ISRA Int. J. Islam. Financ. 2020 , 12 , 347–365. [ Google Scholar ] [ CrossRef ]
  • Bongini, P.; Cucinelli, D. University Students and Retirement Planning: Never Too Early. Int. J. Bank Mark. 2019 , 37 , 775–797. [ Google Scholar ] [ CrossRef ]
  • Ajzen, I. The Theory of Planned Behavior. Organ. Behav. Hum. Decis. Process. 1991 , 50 , 179–211. [ Google Scholar ] [ CrossRef ]
  • Mohamed Shaffril, H.A.; Ahmad, N.; Samsuddin, S.F.; Samah, A.A.; Hamdan, M.E. Systematic Literature Review on Adaptation towards Climate Change Impacts among Indigenous People in the Asia Pacific Regions. J. Clean. Prod. 2020 , 258 , 120595. [ Google Scholar ] [ CrossRef ]
  • Xiao, Y.; Watson, M. Guidance on Conducting a Systematic Literature Review. J. Plan. Educ. Res. 2019 , 39 , 93–112. [ Google Scholar ] [ CrossRef ]
  • Kumar, S.; Goyal, N. Behavioural Biases in Investment Decision Making – a Systematic Literature Review. Qual. Res. Financ. Mark. 2015 , 7 , 88–108. [ Google Scholar ] [ CrossRef ]
  • Barroso, J.S.S.; Araújo, E.A. Socially Responsible Investments (SRIs) – Mapping the Research Field. Soc. Responsib. J. 2020 , 17 , 508–523. [ Google Scholar ] [ CrossRef ]
  • Popescul, D.; Radu, L.D.; Păvăloaia, V.D.; Georgescu, M.R. Psychological Determinants of Investor Motivation in Social Media-Based Crowdfunding Projects: A Systematic Review. Front. Psychol. 2020 , 11 , 1–21. [ Google Scholar ] [ CrossRef ]
  • Ballis, A.; Verousis, T. Behavioural Finance and Cryptocurrencies. Rev. Behav. Financ. 2022 , 14 , 545–562. [ Google Scholar ] [ CrossRef ]
  • Zahera, S.A.; Bansal, R. Do Investors Exhibit Behavioral Biases in Investment Decision Making? A Systematic Review. Qual. Res. Financ. Mark. 2018 , 10 , 210–251. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Ferrati, F.; Muffatto, M. Reviewing Equity Investors’ Funding Criteria: A Comprehensive Classification and Research Agenda. Ventur. Cap. 2021 , 23 , 157–178. [ Google Scholar ] [ CrossRef ]
  • Hassan, M.K.; Aliyu, S.; Paltrinieri, A.; Khan, A. A Review of Islamic Investment Literature. Econ. Pap. A J. Appl. Econ. policy 2019 , 38 , 345–380. [ Google Scholar ] [ CrossRef ]
  • Moher, D.; Liberati, A.; Tetzlaff, J.; Altman, D.G.; Altman, D.; Antes, G.; Atkins, D.; Barbour, V.; Barrowman, N.; Berlin, J.A.; et al. Preferred Reporting Items for Systematic Reviews and Meta-Analyses: The PRISMA Statement. PLoS Med. 2009 , 6 . [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Sierra-Correa, P.C.; Cantera Kintz, J.R. Ecosystem-Based Adaptation for Improving Coastal Planning for Sea-Level Rise: A Systematic Review for Mangrove Coasts. Mar. Policy 2015 , 51 , 385–393. [ Google Scholar ] [ CrossRef ]
  • Glass, G.V. Primary, Secondary, and Meta-Analysis of Research. Educ. Res. 1976 , 5 , 3–8. [ Google Scholar ]
  • Zamore, S.; Ohene Djan, K.; Alon, I.; Hobdari, B. Credit Risk Research: Review and Agenda. Emerg. Mark. Financ. Trade 2018 , 54 , 811–835. [ Google Scholar ] [ CrossRef ]
  • Hussain, W.M.H.W.; Aziz, N.A. Mobile Marketing in Business Sustainability: A Bibliometric Analysis. TEM J. 2022 , 11 , 111–119. [ Google Scholar ] [ CrossRef ]
  • Bui, T.D.; Ali, M.H.; Tsai, F.M.; Iranmanesh, M.; Tseng, M.-L.; Lim, M.K. Challenges and Trends in Sustainable Corporate Finance: A Bibliometric Systematic Review. J. Risk Financ. Manag. 2020 , 13 , 264. [ Google Scholar ] [ CrossRef ]
  • Shamsuddin, S.N.; Ismail, N.; Roslan, N.F. What We Know about Research on Life Insurance Lapse: A Bibliometric Analysis. Risks 2022 , 10 , 97. [ Google Scholar ] [ CrossRef ]
  • Tsai, F.M.; Bui, T.D.; Tseng, M.L.; Lim, M.K.; Hu, J. Municipal Solid Waste Management in a Circular Economy: A Data-Driven Bibliometric Analysis. J. Clean. Prod. 2020 , 275 , 124132. [ Google Scholar ] [ CrossRef ]
  • Bahar, N.; Mustaffa, Z.S.; Ahmad, N.D. Portfolio Management: A Bibliometric Review of 20 Years Publication. 2021 Int. Conf. Data Anal. Bus. Ind. ICDABI 2021 2021 , 230–234. [ Google Scholar ] [ CrossRef ]
  • Pranckutė, R. Web of Science (Wos) and Scopus: The Titans of Bibliographic Information in Today’s Academic World. Publications 2021 , 9 , 12. [ Google Scholar ] [ CrossRef ]
  • Dima, A.; Bugheanu, A.M.; Boghian, R.; Madsen, D.Ø. Mapping Knowledge Area Analysis in E-Learning Systems Based on Cloud Computing. Electronics 2023 , 12 , 62. [ Google Scholar ] [ CrossRef ]
  • Dima, A.; Bugheanu, A.M.; Dinulescu, R.; Potcovaru, A.M.; Stefanescu, C.A.; Marin, I. Exploring the Research Regarding Frugal Innovation and Business Sustainability through Bibliometric Analysis. Sustainability 2022 , 14 , 1326. [ Google Scholar ] [ CrossRef ]
  • Birkle, C.; Pendlebury, D.A.; Schnell, J.; Adams, J. Web of Science as a Data Source for Research on Scientific and Scholarly Activity. Quant. Sci. Stud. 2020 , 1 , 363–376. [ Google Scholar ] [ CrossRef ]
  • Zhu, J. A Tale of Two Databases: The Use of Web of Science and Scopus in Academic Papers Forthcoming in Scientometrics. arXiv 2020 , 1–34. [ Google Scholar ]
  • Harzing, A.W.; Alakangas, S. Google Scholar, Scopus and the Web of Science: A Longitudinal and Cross-Disciplinary Comparison. Scientometrics 2016 , 106 , 787–804. [ Google Scholar ] [ CrossRef ]
  • Lockwood, C.; Munn, Z.; Porritt, K. Qualitative Research Synthesis. Int. J. Evid. Based. Healthc. 2015 , 13 , 179–187. [ Google Scholar ] [ CrossRef ] [ PubMed ]
  • Okoli, C. A Guide to Conducting a Standalone Systematic Literature Review. Commun. Assoc. Inf. Syst. 2015 , 37 , 879–910. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Shaffril, H.A.M.; Samah, A.A.; Kamarudin, S. Speaking of the Devil: A Systematic Literature Review on Community Preparedness for Earthquakes. Nat. Hazards 2021 . [ Google Scholar ] [ CrossRef ]
  • Braun, V.; Clarke, V. Using Thematic Analysis in Psychology. Qual. Res. Psychol. 2006 , 3 , 77–101. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • van Eck, N.J.; Waltman, L. Software Survey: VOSviewer, a Computer Program for Bibliometric Mapping. Scientometrics 2010 , 84 , 523–538. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Jeyaraj, A.; Rottman, J.W.; Lacity, M.C. A Review of the Predictors, Linkages, and Biases in IT Innovation Adoption Research. J. Inf. Technol. 2006 , 21 , 1–23. [ Google Scholar ] [ CrossRef ]
  • Alkhowaiter, W.A. Digital Payment and Banking Adoption Research in Gulf Countries: A Systematic Literature Review. Int. J. Inf. Manag. 2020 , 53 . [ Google Scholar ] [ CrossRef ]
  • Naranjo Zolotov, M.; Oliveira, T.; Casteleyn, S. E-Participation Adoption Models Research in the Last 17 Years: A Weight and Meta-Analytical Review. Comput. Human Behav. 2018 , 81 , 350–365. [ Google Scholar ] [ CrossRef ]
  • Elhajjar, S.; Ouaida, F. An Analysis of Factors Affecting Mobile Banking Adoption. Int. J. Bank Mark. 2020 , 38 , 352–367. [ Google Scholar ] [ CrossRef ]
  • Sreejesh, S.; Anusree, M.R.; Mitra, A. Effect of Information Content and Form on Customers’ Attitude and Transaction Intention in Mobile Banking. Int. J. Bank Mark. 2016 , 34 , 1092–1113. [ Google Scholar ] [ CrossRef ]
  • Miranda, F.J.; Chamorro-Mera, A.; Rubio, S. Academic Entrepreneurship in Spanish Universities: An Analysis of the Determinants of Entrepreneurial Intention. Eur. Res. Manag. Bus. Econ. 2017 , 23 , 113–122. [ Google Scholar ] [ CrossRef ]
  • Shah, N.; Soomro, B.A. Investigating Entrepreneurial Intention among Public Sector University Students of Pakistan. Educ. Train. 2017 , 59 , 841–855. [ Google Scholar ] [ CrossRef ]
  • Imani, B.; Allahyari, M.S.; Bondori, A.; Surujlal, J.; Sawicka, B. Determinants of Organic Food Purchases Intention: The Application of an Extended Theory of Planned Behaviour. Futur. Food J. Food, Agric. Soc. 2021 , 9 , 1–12. [ Google Scholar ] [ CrossRef ]
  • Rogers, C.J.; Forster, M.; Bahr, K.; Benjamin, S.M. A Cross-Sectional Study Using Health Behavior Theory to Predict Rapid Compliance with Campus Emergency Notifications among College Students. Disaster Med. Public Health Prep. 2021 , 15 , 198–207. [ Google Scholar ] [ CrossRef ]
  • Lissitsa, S.; Kol, O. Four Generational Cohorts and Hedonic M-Shopping: Association between Personality Traits and Purchase Intention. Electron. Commer. Res. 2019 , 21 , 545–570. [ Google Scholar ] [ CrossRef ]
  • Kan, M.P.H.; Fabrigar, L.R.; Fishbein, M. Encyclopedia of Personality and Individual Differences. Encycl. Personal. Individ. Differ. 2020 , 1–8. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Sarwar, A.; Afaf, G. A Comparison between Psychological and Economic Factors Affecting Individual Investor’s Decision-Making Behavior. Cogent Bus. Manag. 2016 , 3 . [ Google Scholar ] [ CrossRef ]
  • Gigerenzer, G.; Gaissmaier, W. Heuristic Decision Making. Annu. Rev. Psychol. 2011 , 62 , 451–482. [ Google Scholar ] [ CrossRef ] [ PubMed ] [ Green Version ]
  • Khan, M.N.; Rothwell, D.W.; Cherney, K.; Sussman, T. Understanding the Financial Knowledge Gap: A New Dimension of Inequality in Later Life. J. Gerontol. Soc. Work 2017 , 60 , 487–503. [ Google Scholar ] [ CrossRef ] [ PubMed ] [ Green Version ]
  • Lee, J.M.; Park, N.; Heo, W. Importance of Subjective Financial Knowledge and Perceived Credit Score in Payday Loan Use. Int. J. Financ. Stud. 2019 , 7 , 53. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Banerjee, S.; Kang, H.; Bagchi-Sen, S.; Rao, H.R. Gender Divide in the Use of Internet Applications. Int. J. E-Bus. Res. 2005 , 1 , 24–39. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Waweru, N.M.; Munyoki, E.; Uliana, E. The Effects of Behavioural Factors in Investment Decision-Making: A Survey of Institutional Investors Operating at the Nairobi Stock Exchange. Int. J. Bus. Emerg. Mark. 2008 , 1 , 24. [ Google Scholar ] [ CrossRef ]
  • Savor, P.; Wilson, M. How Much Do Investors Care about Macroeconomic Risk? Evidence from Scheduled Economic Announcements. J. Financ. Quant. Anal. 2013 , 48 , 343–375. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Chen, Y.; Mandler, T.; Meyer-Waarden, L. Three Decades of Research on Loyalty Programs: A Literature Review and Future Research Agenda. J. Bus. Res. 2021 , 124 , 179–197. [ Google Scholar ] [ CrossRef ]
  • Haddoud, M.Y.; Onjewu, A.K.E.; Nowiński, W.; Jones, P. The Determinants of SMEs’ Export Entry: A Systematic Review of the Literature. J. Bus. Res. 2021 , 125 , 262–278. [ Google Scholar ] [ CrossRef ]
  • Paul, J.; Rosado-Serrano, A. Gradual Internationalization vs Born-Global/International New Venture Models: A Review and Research Agenda. Int. Mark. Rev. 2019 , 36 , 830–858. [ Google Scholar ] [ CrossRef ]
  • Liao, S.; Sui, J.; Zhang, H. Switchable Ultra-Broadband Absorption and Polarization Conversion Metastructure Controlled by Light. Opt. Express 2022 , 30 , 34172–34187. [ Google Scholar ] [ CrossRef ]
  • Huang, Y.M.; Lou, S.J.; Huang, T.C.; Jeng, Y.L. Middle-Aged Adults’ Attitudes toward Health App Usage: A Comparison with the Cognitive-Affective-Conative Model. Univers. Access Inf. Soc. 2019 , 18 , 927–938. [ Google Scholar ] [ CrossRef ]
  • Fishbein, M.; Azjen, I. Belief, Attitude, Intention and Behavior: An Introduction to Theory and Research ; Addison-Wesley: Reading, MA, USA, 1975. [ Google Scholar ]
  • Kim, Y.H.; Kim, D.J.; Wachter, K. A Study of Mobile User Engagement (MoEN): Engagement Motivations, Perceived Value, Satisfaction, and Continued Engagement Intention. Decis. Support Syst. 2013 , 56 , 361–370. [ Google Scholar ] [ CrossRef ]
  • Berry, L.L. Cultivating Service Brand Equity. J. Acad. Mark. Sci. 2000 , 28 , 128–137. [ Google Scholar ] [ CrossRef ]
  • Davcik, N.S.; Sharma, P. Impact of Product Differentiation, Marketing Investments and Brand Equity on Pricing Strategies: A Brand Level Investigation. Eur. J. Mark. 2015 , 49 , 760–781. [ Google Scholar ] [ CrossRef ]
  • Kim, H.B.; Kim, W.G.; An, J.A. The Effect of Consumer-Based Brand Equity on Firms’ Financial Performance. J. Consum. Mark. 2003 , 20 , 335–351. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Kalandides, A.; Jacobsen, B.P. Investor/based Place Brand Equity: A Theoretical Framework. J. Place Manag. Dev. 2009 , 2 , 70–84. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Eid, R. Integrating Muslim Customer Perceived Value, Satisfaction, Loyalty and Retention in the Tourism Industry: An Empirical Study. Int. J. Tour. Res. 2015 , 17 , 249–260. [ Google Scholar ] [ CrossRef ]
  • Mansori, S.; Sambasivan, M.; Md-Sidin, S. Acceptance of Novel Products: The Role of Religiosity, Ethnicity and Values. Mark. Intell. Plan. 2015 , 33 , 39–66. [ Google Scholar ] [ CrossRef ] [ Green Version ]
  • Elseidi, R.I. Determinants of Halal Purchasing Intentions: Evidences from UK. J. Islam. Mark. 2018 , 9 , 167–190. [ Google Scholar ] [ CrossRef ]
  • Sarstedt, M.; Ringle, C.M.; Hair, J.F. Partial Least Squares Structural Equation Modeling with R ; 2017; Springer: Berlin/Heidelberg, Germany; Volume 21, ISSN 9783319055428. [ Google Scholar ]

Click here to enlarge figure

DatabaseSearch Strings
TS = ((“intention to invest” OR “investment intention” OR “investor * intention” OR “investor * decision” OR “investor * behavio *”) AND (“invesment” OR “islamic investment” OR “unit trust” OR “islamic unit trust” OR "mutual fund” OR “islamic mutual fund *” OR “bond” OR “islamic bond” OR “sukuk” OR “stock market” OR “islamic stock market”))
TITLE-ABS-KEY((“intention to invest” OR “investment intention” OR “investor * intention” OR “investor * decision” OR “investor * behavio *”) AND (“invesment” OR “islamic investment” OR “unit trust” OR “islamic unit trust” OR “mutual fund” OR “islamic mutual fund *” OR “bond” OR “islamic bond” OR “sukuk” OR “stock market” OR “islamic stock market”))
CriteriaEligibilityExclusion
Literature typeIndexed journal (research articles with empirical data)Non-indexed journals, systematic literature review journals, chapters in books, conference proceedings, conceptual papers
LanguageEnglishNon-English
Timeline2016–May 2021<2016
Unit of analysisIndividual or retail investorInstitutional investor
TheoryFrequency
Theory of Planned Behavior12
Theory of Reasoned Action2
Social Cognitive Theory1
Portfolio Theory1
Prospect Theory1
IndustryFrequencyCountryFrequency
Stock market17India8
Mutual fund *6Pakistan5
Bond **4Malaysia3
Retirement planning1Indonesia3
Saudi Arabia2
Vietnam2
Italy1
Taiwan1
UAE1
Turkey and Ireland1
Hong Kong and China1
Method of AnalysisTotal
Structural Equation Model12
Partial Least Square Structural Equation Model5
Ordinary Least Squares5
Logistic Regression analysis2
Factor Analysis2
Independent VariableDependent VariableTotal No. of Significant ResultsFrequency of UseWeight
Intention to InvestBehaviorDecision Making
No. of Significant ResultsNo. of Nonsignificant ResultsNo. of Significant ResultsNo. of Nonsignificant ResultsNo. of Significant ResultsNo. of Nonsignificant Results
Attitude91101011120.92
SN111102015160.94
PBC610100670.86
Moral Norms200000221
Personality Traits522000790.78
Past Behavior011000120.5
Compatibility100000111
Heuristic00209011111
Emotion000050551
Financial Literacy 102100011130.85
Religiosity301000441
Herding Behavior000040441
Overconfidence Bias010000010
Financial Well-Being120000130.33
Environmental Concern010000010
Brand Equity300000301
Reputation 301100450.80
Product Features001100011111
Financial Status001000111
Demographic 001100011111
Information004000441
DV = Subjective Norms
Personality Traits50 551
DV = Attitude
Personality Traits50 551
Financial Literacy10 111
Religious Factor10 111
Financial Performance10 111
Reputation10 111
Subjective Norms01 010
DV = Perceived Behavioral Control
Personality Traits50 551
DV = Behavior/Adoption/Participation
Intention 50 551
No.Author, YearPersonal FactorsSocial FactorsMarketFirm-Specific FactorsProduct-Related FactorsOthers
PsychologicalCognitive
APBCMNPTPBCHE SIRFIRRRBEPFD
1Yang et al., 2021 [ ]
2Shehata et al., 2021 [ ]
3Khawaja and Alharbi, 2021 [ ]
4Sumiati et al., 2021 [ ]
5Raut et al., 2020 [ ]
6Raut, 2020 [ ]
7Khan et al., 2020 [ ]
8Mahdzan et al., 2020 [ ]
9Dewi and Tamara, 2020 [ ]
10Bongini and Cucinelli, 2019 [ ]
11Akhtar and Das, 2019 [ ]
12Lai, 2019 [ ]
13Annamalah et al., 2019 [ ]
14Alharoni, 2019 [ ]
15Duqi and al-Tamimi, 2019 [ ]
16Rasheed et al., 2018 [ ]
17Paliwal et al., 2018 [ ]
18Cal and Lambkin, 2017 [ ]
19Mak and Ip, 2017 [ ]
20Ashidiqi and Arundina, 2017 [ ]
21Raut and Das, 2017 [ ]
22Sivaramakrishnan et al., 2017 [ ]
23Kaur and Kaushik, 2016 [ ]
24Cao et al., 2021 [ ]
25Raut et al., 2020 [ ]
26Moueed and Hunjra, 2020 [ ]
27Qasim et al., 2019 [ ]
28Shah et al., 2018 [ ]
Mediating VariableModerating Variable
NoAuthor, YearInstrumentAttitudeFSEPRRALoSFSEPRGenderAgeExperience
1Shehata et al., 2021 Stock market #
2Raut, 2020 Stock market
3Khan et al., 2020 Sukuk
4Akhtar and Das, 2019Stock market
5Lai, 2019Stock market
6Cal and Lambkin, 2017Stock market ◊◊
7Rasheed et al., 2018Stock market #
8Moueed and Hunjra, 2020Stock market
The statements, opinions and data contained in all publications are solely those of the individual author(s) and contributor(s) and not of MDPI and/or the editor(s). MDPI and/or the editor(s) disclaim responsibility for any injury to people or property resulting from any ideas, methods, instructions or products referred to in the content.

Share and Cite

Che Hassan, N.; Abdul-Rahman, A.; Mohd Amin, S.I.; Ab Hamid, S.N. Investment Intention and Decision Making: A Systematic Literature Review and Future Research Agenda. Sustainability 2023 , 15 , 3949. https://doi.org/10.3390/su15053949

Che Hassan N, Abdul-Rahman A, Mohd Amin SI, Ab Hamid SN. Investment Intention and Decision Making: A Systematic Literature Review and Future Research Agenda. Sustainability . 2023; 15(5):3949. https://doi.org/10.3390/su15053949

Che Hassan, Norhazimah, Aisyah Abdul-Rahman, Syajarul Imna Mohd Amin, and Siti Ngayesah Ab Hamid. 2023. "Investment Intention and Decision Making: A Systematic Literature Review and Future Research Agenda" Sustainability 15, no. 5: 3949. https://doi.org/10.3390/su15053949

Article Metrics

Article access statistics, further information, mdpi initiatives, follow mdpi.

MDPI

Subscribe to receive issue release notifications and newsletters from MDPI journals

Morningstar Investment Research

Morningstar’s independent research is only biased in favor of investors. Dig into expert analysis from 100+ global researchers on securities, funds, markets, and portfolios. With transparent insights, investors can make more confident investment decisions.

Trending Investment Research

2024 industrial gas landscape, oil and gas pulse: q3 2024, u.s. active/passive barometer, emea active/passive barometer report: mid-year 2024, obesity drug market: the next wave of glp-1 competition, q3 2024 us gaming pulse, us economic outlook: q3 2024, singapore reits market landscape, moats and motors: navigating the us auto dealer industry, understanding what investors value from financial advisors, transforming index funds: more than meets the eye, mind the gap 2024: a report on investor returns in the us, navigating the client lifecycle in financial planning, global monthly fund flows, q2 2024 apparel industry pulse, utilities sector outlook: a look at regulation, data centers, and ai, china real estate market pulse: q3 2024, q3 2024 markets observer, china active/passive barometer: year-end 2023, asia equity market outlook: q3 2024, q3 2024 us stock market outlook, q3 2024 europe equity market outlook, q2 2024 us renewable energy pulse, q2 2024 travel services pulse, us gaming pulse: q2, global mutual fund asset distribution, 2024 online commerce observer, 2024 ai technology observer, q2 2024 oil and gas industry pulse, q2 2024 us economic outlook, 2024 us financial health report, morningstar's guide to us active etfs, global equity fund flows, climate action 100+ departures put proxy voting in the spotlight, active etfs in europe: small, shy, and on the rise, u.s. drug distribution landscape, h1 2024 u.s. housing outlook, biopharma landscape, target-date funds and annuities, 2024 target-date strategy landscape, 2024 diversification landscape, financial services observer, mining industry landscape, small-cap equities and funds, motors and markets 2024, u.s. e&ps landscape, 2023 model portfolio landscape, software landscape report, mutual fund manager stock hit rates, 2024 utilities outlook, what motivates clients to stay with their financial advisors, dividend funds landscape report, q4 2023 digital & analog semiconductors pulse, 2023 retirement withdrawal strategies report, luxury goods landscape report, cybersecurity landscape report, a global guide to strategic-beta exchange-traded products, compare robo-advisor performance & assess the best options, a simple framework for structured products, fund managers switching firms - should investors tag along, can asset managers take direct indexing to the masses, why money is important to investors, large growth stocks: hurdles and risks for fund managers, intended and unintended crypto exposures, beware of overconfidence in “outlook season”, 2022 health savings account landscape, morningstar's cryptocurrency landscape, morningstar’s global automotive observer:, 2022 u.s. interest rate & inflation forecast, morningstar's guide to tax managed investing, thematic fund handbook, sustainable investing, esma's guidelines on esg fund names, global sustainable fund flows report, sfdr article 8 and article 9 funds, guide to transitioning to sustainable equity portfolios, investing in times of climate change, where does esg fit into investor conversations, us annual sustainable funds landscape, esg proxy-voting insights: blackrock, vanguard, state street, us sustainable fund flows, esg landscape on commercial air travel, proxy-voting insights: voting on politics, morningstar sustainability atlas, esg landscape on biopharma, esg commitment level landscape, 2022 carbon credits landscape, esg landscape on oil and gas, proxy-voting insights: 2022 in review, water, water everywhere. how are asset managers responding, esg landscape on consumer packaged goods, net zero asset managers initiative, cop15: a turning point for investor approaches to biodiversity, esg landscape on telecommunication services, the hidden esg risks of feel-good companies, how to talk to investors about sustainable investing, esg landscape on autos, investment strategies, morningstar prospects, emerging-equities market pulse, liquid alternatives observer, momentum inflection factor, morningstar’s primer on defined outcome etfs, global thematic funds landscape, the reasons behind fund closures, financial well-being, q3 2024 us asset manager pulse, morningstar's annual 529 college-savings plan landscape, 2024 target-date funds and cits landscape, us asset manager landscape report, mind the gap: a report on investor returns in the u.s., morningstar's robo-advisor landscape, morningstar's u.s. fund fee study, global investor experience: fees and expenses report.

Portfolio Management Research Logo

Browse our content by topic to discover expertise. We deliver more than 12,000 articles covering 60 investment disciplines. We’re constantly adding content to help you stay current, get the latest ideas, and shape your conviction. 

Financial Research Paper Topics: Interesting Finance Questions to Uncover

Are you having trouble thinking of a good topic for your finance research paper? Believe it or not, you are not alone. It might be difficult to find the perfect financial research topic time and time again. After all, picking the right subject is crucial to your financial field. Whether you’re putting together a presentation, penning an essay, or doing research papers, your choice of subject is of critical significance.

To aid you in overcoming this obstacle, we have compiled a detailed list of organized finance topics for research papers. If you want to be sure you choose the right subject for your financial management efforts, we’ve provided a concise guide with crucial advice.

How to Choose Topics for a Finance Research Paper?

If you need assistance deciding on a subject for your finance research paper, here are some pointers. But before we get into those pointers, it’s important to keep in mind that custom writing services may be a great resource for choosing finance topics for your research paper. You may save yourself time and effort by relying on their staff of seasoned writers to help you choose a subject that is both interesting and applicable to your assignment. The following are three guidelines for deciding on a subject for a finance research paper:

  • Find Unanswered Questions : Try to pinpoint issues that haven’t received enough attention so far in financial research. You may add to the corpus of knowledge already available by identifying information gaps. Investigate financial management, traditional finance, corporate finance, personal finance and similar topics in order to develop a workable solution or to provide novel ideas.
  • Review Existing Literature : Gaining familiarity with the state of the art in finance research requires reading theses and academic articles. Doing so will aid you in pinpointing certain niches in which you may excel. Search the literature for broad perspectives or recurring themes that might help you zero in on a particular issue.
  • Stay Updated and Seek Input : Conduct internet research to keep up with the latest financial concerns. Investigate pressing concerns in the industry, such as the effects of the global financial crisis or new developments in the financial markets. You should also talk about your topic with others who have written research papers, such as your friends, classmates, or professors. Getting their thoughts might help you hone your subject and provide vital information.

Where to Get Data for Finance Papers?

It is crucial to get accurate and up-to-date information while conducting studies in the financial sector. One efficient method is to pay for papers or to hire a finance researcher and analysts to do the work for you, especially when it comes to personal finance.

  • ProQuest is a significant tool since it provides access to scholarly literature from every field of study in the form of periodicals, newspapers, industry reports, dissertations, and profiles of prominent businesses.
  • Scopus and Web of Science provide a plethora of resources, including journals, books, and conference proceedings, that provide comprehensive coverage across academic subjects.
  • Global Financial Data (GFD) is one such database that caters only to finance research, and its extensive research has a wealth of data on various asset classes, prices, indexes, and currency exchange rates.
  • Bloomberg, Thomson Reuters Datastream, and WRDS provide faculty and researchers with institutional access to a plethora of financial data and tools. This includes real-time market data, financial statements, economic indicators, and personal finance topics to write about.

List of Finance Research Topics

This exhaustive list covers everything you need, whether you’re an MBA student, a finance management professional, or a college student. Explore the exciting field of finance research, delving into areas like healthcare financing, the latest developments in the field, corporate finance, and the aftereffects of the global financial crisis. The finance research papers” in this volume will keep you interested and well-informed.

Finance Research Topics for MBA

Investment analysis, financial management, and personal finance are just a few of the many disciplines that fall under the umbrella of finance research subjects for MBA students. Such topics in finance are essential because they provide MBA students with a solid grounding in financial theory and practice. Here are a few suggestions for MBA students looking for research topics in finance:

  • Risk Management Strategies in Financial Institutions.
  • Behavioral Finance in Investment Decision-Making.
  • Financial Inclusion and Economic Development.
  • Comparative Analysis of IFRS Adoption and Financial Reporting Quality.
  • Impact of Financial Technology (Fintech) on Traditional Banking.

Finance Management Research Topics

Finance management topics include a broad spectrum of areas that dive into the complexities of managing financial resources in different contexts. Investment analysis, risk management, financial markets, and corporate finance all fall under finance management. Writing a finance research paper helps you understand financial decision-making, develop effective strategies, and advance the field. Before commencing your research paper, consider the following finance research paper ideas:

  • Corporate Risk Management Strategies On Firm Performance.
  • Benefit Investment Management Practices In Pension Funds.
  • Assessing Financial Risks And Mitigation Techniques In Developing Market Multinationals.
  • Electronic Banking And Financial Inclusion In Developed And Developing Nations.
  • An Empirical Study Of Investor Behavior And Global Finance Data.

Healthcare Finance Research Topics

Explore the application of financial theory to the healthcare sector while writing about finance research paper topics. This financial research is essential for expanding our knowledge of healthcare economics, investment strategies, cost control, and healthcare policy. Finance researchers may also investigate intricate monetary systems to enhance healthcare services and the health of patients. Some healthcare finance topics might include the following:

  • Impact Of Healthcare Policy On Financial Sustainability.
  • Cost-Effectiveness Analysis Of Healthcare Interventions.
  • Healthcare Reimbursement Models And Their Impact On Healthcare Providers.
  • Economic Evaluation Of Preventive Healthcare Programs.
  • Healthcare Financing And Access To Care For Underserved Populations.

Interesting Finance Dissertation Topics

For the purposes of writing finance research papers and finishing a dissertation, investigating interesting finance topics is essential. You can gain a more thorough comprehension of economic principles and their real-world applications. In order to have a high-quality research paper done quickly and with no effort, it’s a good idea to look into help with dissertation writing services. For your next research paper, you can consider the following interesting financial topics:

  • The banking sector and digital transformation: customer experience and operational effectiveness.
  • Corporate risk management strategies in the banking industry: Traditional vs. developing risk management procedures.
  • A case study of emerging nations and how well-functioning financial systems foster economic progress.
  • Financial aid programs in promoting access to higher education
  • A post-pandemic examination of banking institutions’ resilience and regulatory measures’ systemic risk mitigation.

Current Research Topics in Finance

Examining current finance research paper topics is essential due to the dynamic nature of the financial industry. By digging into current financial topics to write about, you learn more about the market, investing methods, risk management, and more. This financial research supports decision-making, policy-making, and the development of new financial solutions. Here are a few lists of subjects to consider if you are looking for current financial topics to write about.

  • Financial Statement Analysis And Investment Decisions In Different Industries.
  • Exploring The Effectiveness Of Machine Learning Algorithms In Predicting Financial Asset Prices.
  • The Role Of Financial Derivatives In Managing Risk And Enhancing Returns In The Business Sector.
  • Corporate Governance Practices On Financial Performance And Asset Valuation.
  • Sustainable Finance Projects In Promoting Environmental, Social, And Governance (ESG) Goals.

Best Finance Research Topics

A finance research paper topic requires the identification of intriguing subjects for extensive research. The best financial research opens the door to explorations of many facets of finance, including investing tactics and the stock market. As you start to write research papers on finance topics, you’ll open up opportunities for self-discovery, theory-building, and prudent decision-making. You’ll also help them become better researchers and writers, leading to better articles.

  • Artificial Intelligence and Financial Decision-Making.
  • Financial Risk Management in the Age of Cryptocurrencies.
  • Behavioral Finance and Investment Decision-Making.
  • The Effectiveness of Financial Regulations in Preventing Market Manipulation.
  • The Role of Fintech in Financial Inclusion: Case Studies from the United States.

Interesting Finance Topics for College Students

Among the many subsets that make up the umbrella term finance topics for college students are financial research and finance topics for paper. Financial research topics are important because they help students learn the fundamentals of finance, get them ready for the issues they’ll face in the real world, and develop the analytical thinking they’ll need to make sound judgments in the future. Here are a few examples of finance topics to talk about among college students:

  • A Comparative Study of E-commerce on Traditional Retail Banking.
  • Comparing Interest Rate Changes with Stock Market Volatility in Developed and Emerging Markets.
  • The Effectiveness of Microfinance Institutions in Alleviating Poverty.
  • Financial Education Programs and College Students’ Financial Decision-Making.
  • Initial Public Offering (IPO) Underpricing: Comparative Study of Developed and Developing Markets.

Finance Research Paper Topics for University Students

Investing, banking, corporate finance, and other areas fall under the umbrella of finance-related topics for the purposes of a university research paper. Because it deepens their knowledge, sparks new ideas, and helps the financial sector expand, topics in finance are more important for college students to study. Students who buy custom assignments benefit from individualized attention, time savings, and the insight of subject matter experts. Check out our extensive finance research topic list to uncover interesting topics for your next paper.

  • Interest Rate Changes On Corporate Borrowing And Investment Decisions.
  • Financial Literacy And Investment Behavior Among University Students.
  • Impact Of International Trade And Globalization On Financial Markets.
  • Factors Influencing Mergers And Acquisitions In The Financial Industry.
  • Financial Derivatives In Managing Risk In The Stock Market.

Public Finance Research Topics

Research Topics in Public Finance include a broad spectrum of questions concerning fiscal and monetary policy at the national, state, and local levels of government. Understanding the effects of government spending and fiscal policies on GDP growth, income distribution, and social welfare is essential, which is why studies in this field are so important. Policymakers can do better for the world when they have access to information on financial research paper topics to read about.

  • The potential of digital currencies as financial assets in public finance management.
  • Impact of Tax Policy on Economic Growth: A Comparative Study.
  • Government Debt and its Implications on Fiscal Sustainability.
  • Public-Private Partnerships in Infrastructure Development.
  • Effectiveness of Fiscal Stimulus Packages in Times of Economic Crisis.

Corporate Finance Research Topics

Corporate Finance Research explores various financial management topics within businesses. Conducting research in this area is crucial for understanding financial decision-making, risk management, capital structure, and valuation. It helps companies optimize their financial strategies, make informed investment decisions, and enhance overall financial performance.

  • Corporate Governance and Financial Performance: An Industry Comparison.
  • Debt Financing in Manufacturing Sector Corporate Investment Decisions.
  • Corporate Taxation and Capital Structure Decisions: A Comparative Study of Countries.
  • Corporate Venture Capital and Startup Financing: A Comparative Analysis.
  • Corporate Governance Mechanisms and Capital Allocation Efficiency: Emerging Markets.

Business Finance Research Topics

Subjects that fall under the umbrella of business finance topics include any and all discussions of how businesses handle their money, from budgeting to investing to making important business decisions. Researching business finance is essential since it reveals new tendencies, aids in the creation of cutting-edge tactics, and boosts monetary output. It helps companies maintain competitiveness in a fast-paced industry and make well-informed choices. These samples can assist you whether you are looking for financial research paper topics or investment research paper ideas.

  • Corporate Social Responsibility and Financial Performance.
  • Exchange Rate Fluctuations on International Business Transactions.
  • Financial Innovation and SME Financing.
  • Financial Markets in Economic Development.
  • Financial Leverage and Firm Value in Different Industries.

Related posts:

  • Proposal Essay Topics Ideas

200 Best Ideas for Research Paper Topics in 2023

  • Good Essay Topics & Ideas for College by Edusson
  • Medical Research Paper Topics: Ideas on Healthcare and Medical Science

Improve your writing with our guides

Psychology Essay Topic: Theories Explaining Human growth and Development

Psychology Essay Topic: Theories Explaining Human growth and Development

Best research paper topics 2018

Reflection Paper Topics: Art

Get 15% off your first order with edusson.

Connect with a professional writer within minutes by placing your first order. No matter the subject, difficulty, academic level or document type, our writers have the skills to complete it.

100% privacy. No spam ever.

investment analysis research paper topics

Financial Research Paper Topics – The Complete List to Choose From

image

Table of contents

  • 1 How to Choose Financial Research Topics?
  • 2 List of Finance Topics to Write About
  • 3 Interesting Finance Topics
  • 4 Research Topics for Finance Students
  • 5 Finance Research Topics for MBA
  • 6 Public Finance Topics
  • 7 International Research Topics in Finance
  • 8 Healthcare Finance Research Topics
  • 9 Corporate Finance Topics
  • 10 Business Finance Topics
  • 11 Personal Finance Topics
  • 12 Conclusion

A search for the right financial research paper topic is constant. Indeed, we can understand this because knowing the reasonable topics in finance puts us ahead of the game. Students majoring in business are obliged to make presentations and submit essays, projects, and research papers on banking and accounting at one point in their career.

The challenges of picking the best finance topics are, however, always within. For this reason, we’ve done extensive research and have composed a great list of financial research paper topics and divided them into groups for you to choose from.

If you’re in doubt about how to choose your topic, we’ve got that covered too. Read our easy guide on which steps to take to ensure your paper topic is appropriate, along with our vital tips on what to pay attention to when choosing them.

How to Choose Financial Research Topics?

To choose the proper topic and get prepared for the process of research paper writing , you should first explore something that nobody has explored so far. Other than that step of selecting a unique topic, here are some other helpful tips we recommend in selecting the best and most appropriate financial research topic:

  • Find a question that has no answers yet in the field of your study and give it additional research to find a suitable solution;
  • Read several finance theses and papers to get a good idea for choosing your topic;
  • Always find a general viewpoint for your financial research topic and use your study to narrow it down to something specific;
  • Do online research and find what topics may be a burning issue to work on them. This type of research will make the research paper topic valid, compelling, suitable for your particular research, and unique;
  • Talk about your topic with your friends or other people who have experience in writing papers. You can consult your professors too.

List of Finance Topics to Write About

We offer you a list of exciting finance topics you can write about divided into groups. This way, you can choose the best topic from your target group and make sure you can cover it to a T. Have fun researching.

Interesting Finance Topics

Perhaps you want to write an interesting business paper. You’ll need to choose among some of the most recurring finance paper topics and write a persuasive paper. Here’s our list of the ten options we find most engaging.

  • A comparative study on the set-backs and benefits of acquisition and merger
  • Possible solutions to the Capital Asset Pricing Model
  • Future commerce and the impact of manipulating commodity
  • A comparative analysis of the Continuous-time model application
  • Building stability for retail investors using the Systematic Investment Strategy
  • US’ economy and income tax
  • How does the American economy function with the current banking operations
  • Financial statement analysis and the ratio analysis – is it a practical component?
  • Senior citizen investment – a case study of this portfolio
  • Multi-level marketing and its applications in different economies of the world

Research Topics for Finance Students

Finance students have to write research papers throughout their years of study. Sometimes, it may be hard to find the most engaging financial topics to write about, which is why our list should help.

  • The differences and similarities between traditional finance and behavioral one
  • Consumer satisfaction in e-banking
  • The best risk management methods for the manufacturing industry – a detailed analysis
  • A derivative marketplace and its financial risks – identification and measuring
  • Potential risks for the banking sector and how to avoid them?
  • The new technologies behind banking in commercial banks

Finance Research Topics for MBA

The following list of research topics in finance would help you intrigue your professors and look at the discipline from a new perspective.

  • Investment analysis of your chosen company
  • Capital management – a detailed report
  • Saving taxes – considerations and financial plans
  • Life insurance investments and the involvement of investors in them
  • A comparative analysis between traditional products and UIL

know_shortcode

Public Finance Topics

Public finance topics are a type of finance research paper topics that covers taxation, government borrowing, and other aspects.

  • Accounting and government budgeting
  • The austerity related to finance and government education
  • The theory and practice of government taxation
  • How does the government raise money through borrowing
  • The government’s revenue collection plan
  • Budgeting and accounting of the government

International Research Topics in Finance

Since business transactions are happening worldwide, and local trade is no longer the only option, we must study international business.

  • What can we do to prevent global economic crises?
  • Can the banking industry lower the impact of the recurring financial crisis?
  • Can a country achieve funding healthcare for homeless people?
  • Which sectors of healthcare need more funding?
  • The problems of high prices of medication in the US

Healthcare Finance Research Topics

Here are some of the most relevant topics for healthcare finance:

  • What’s better – paid or free healthcare?
  • Healthcare finance – the origins
  • Is financing healthcare a privilege or a right?
  • Healthcare policies in the U.S. through history
  • How can first-world countries improve healthcare?
  • How much impact does the government have on its healthcare?
  • Can we achieve worldwide free healthcare?

Corporate Finance Topics

Corporate finance deals with structuring capital, financing, and making decisions for each investment. The following list of research topics in finance covers ways to make minimal mistakes in this field.

  • Possible solutions to ethical concerns in corporate finance
  • Small and medium-capitalization businesses – understanding their investment patterns
  • Investment for mutual funds – a detailed analysis of its different streams
  • How do equity investors manage their potential risks
  • What are the potential pros and cons of SWIFT, and how does it work?

Business Finance Topics

Each decision we make in business has some financial implications. Therefore, we must understand the fundamentals to write finance topics that require management, analysis, valuation, etc.

  • Establishing business enterprises and the application of business finance
  • Business modernization and the role of business finance
  • Selling our life insurance – Is tax an effective incentive here?
  • Who do mutual funds change within the public and private sectors?
  • Different investment options for different financial classes – Is there a preference?
  • The choices and preferences of investors – A detailed analysis
  • The investors’ perspective on investing in private insurance companies
  • Corporate entities and increasing their accountability
  • Business finance and its ethical concerns
  • Small to medium business tax payments

more_shortcode

Personal Finance Topics

Personal finance is a susceptible area, as we all like to tend to our finances appropriately. Here are some of the most exciting burning issues in this field:

  • Possible saving strategies while you’re on a budget – An evaluation
  • The effect of inflation and the increase in the interest rate on personal finance
  • Employees and employers working from home – what are the benefits?
  • Is free healthcare or affordable healthcare a common right every citizen should have?
  • What are the best ways to save money when you’re on a budget?
  • Credit scored – a detailed analysis
  • The importance of vehicle and credit loans
  • How does tax impact making our financial decisions?
  • What are the best ways to properly manage credit?
  • Mobile banking and its difficulties

Yes, choosing among numerous financial research paper topics can sometimes be overwhelming. Still, we’ve laid out all the inspirational ideas for them in categories so that you can find your best pick fast and easily. If you feel like you can’t write that paper yourself, that’s okay too.

Contact our services at PapersOwl for some first-class research writing. On the other hand, if you feel like you are a professional in this field, we have you covered for that too. You can write research papers for money through our service and make extra cash from your writing skills.

If you have any additional questions about finance research topics, please contact our college paper help . Our team of experts will tend to all of your questions promptly.

Readers also enjoyed

Case Study Topics on Various Academic Subjects

WHY WAIT? PLACE AN ORDER RIGHT NOW!

Just fill out the form, press the button, and have no worries!

We use cookies to give you the best experience possible. By continuing we’ll assume you board with our cookie policy.

investment analysis research paper topics

  • Search Search Please fill out this field.

What Is Investment Analysis?

  • How It Works

The Bottom Line

  • Portfolio Management

Investment Analysis: Definition, Types, and Importance

investment analysis research paper topics

Investopedia / Julie Bang

Investment analysis is a broad term for many different methods of evaluating investments, industry sectors, and economic trends. It can include charting past returns to predict future performance, selecting the type of investment that best suits an investor's needs, or evaluating individual securities such as stocks and bonds to determine their risks, yield potential, or price movements.

Investment analysis is key to a sound portfolio management strategy.

Key Takeaways

  • Investment analysis involves researching and evaluating a security or an industry to predict its future performance and determine its suitability to a specific investor.
  • Investment analysis may also involve evaluating or creating an overall financial strategy.
  • Types of investment analysis include bottom-up, top-down, fundamental, and technical.

Understanding Investment Analysis

The aim of investment analysis is to determine how an investment is likely to perform and how suitable it is for a particular investor. Key factors in investment analysis include the appropriate entry price, the expected time horizon for holding an investment, and the role the investment will play in the portfolio as a whole.

In conducting an investment analysis of a mutual fund, for example, an investor looks at how the fund performed over time compared to its benchmark and to its main competitors. Peer fund comparison includes investigating the differences in performance, expense ratios, management stability, sector weighting, investment style, and asset allocation .

In investing, one size does not fit all. Just as there are many different types of investors with unique goals, time horizons, and incomes, there are investment opportunities that match those individual parameters.

Investment analysis can also involve evaluating an overall investment strategy in terms of the thought process that went into making it, the person's needs and financial situation at the time, how the portfolio performed, and whether it's time for a correction or adjustment.

Investors who are not comfortable doing investment analysis on their own can seek advice from an investment advisor or another financial professional.

Types of Investment Analysis

While there are countless ways to analyze securities, sectors, and markets, investment analysis can be divided into several basic approaches.

Top-Down vs. Bottom-Up

When making investment decisions, investors can use a bottom-up investment analysis approach or a top-down approach.

Bottom-up investment analysis entails analyzing individual stocks for their merits, such as their valuation, management competence, pricing power, and other unique characteristics.

Bottom-up investment analysis does not focus on economic cycles or market cycles. Instead, it aims to find the best companies and stocks regardless of the overarching trends. In essence, bottom-up investing takes a microeconomic approach to investing rather than a macroeconomic or global approach.

The global approach is a hallmark of top-down investment analysis. It starts with an analysis of the economic, market, and industry trends before zeroing in on the investments that will benefit from those trends.

Proponents of bottom-up analysis include Warren Buffett and his mentor, Benjamin Graham.

In a top-down approach , an investor might evaluate various sectors and conclude that financials will likely perform better than industrials. As a result, the investor decides the investment portfolio will be overweight financials and underweight industrials. Then it's time to find the best stocks in the financial sector.

In contrast, the bottom-up investor may have found that an industrial company made a compelling investment and allocated a significant amount of capital to it even though the outlook for the broader industry was relatively negative. The investor has concluded that the stock will outperform its industry.

Fundamental vs. Technical

Other investment analysis methods include fundamental analysis and technical analysis.

The fundamental analyst stresses the financial health of companies as well as the broader economic outlook. Practitioners of fundamental analysis seek stocks they believe the market has mispriced. That is, they are trading at a price lower than is warranted by their intrinsic value.

Often using bottom-up analysis, these investors will evaluate a company's financial soundness, future business prospects, and dividend potential to determine whether it will make a satisfactory investment. Proponents of this style include Warren Buffett and his mentor, Benjamin Graham .  

The technical analyst evaluates patterns of stock prices and statistical parameters, using computer-calculated charts and graphs. Unlike fundamental analysts, who attempt to evaluate a security's intrinsic value, technical analysts focus on patterns of price movements, trading signals, and various other analytical charting tools to evaluate a security's strength or weakness.

Day traders make frequent use of technical analysis in devising their strategies and timing their buying and selling activity.

Example of Investment Analysis

Research analysts frequently release investment analysis reports on individual securities, asset classes, and market sectors, with a recommendation to buy, sell, or hold them. Each firm offers different types of analyses, pointing to where they see trends based on their research.

For example, BlackRock, in its Weekly Commentary for Nov. 20, 2023, states that it is neutral in long-term Treasuries because it believes risks are more balanced after the last three years of rising rates. It believes the U.S. is on a weak growth path due to policy rates staying high and, therefore, does not see stocks going through significant growth. Higher rates are causing businesses to stagnate, according to BlackRock.

That being said, BlackRock is overweight in stocks as it believes the overall returns of stocks will be higher than that of fixed-income securities in the next decade.

What Are the Main Steps of Investment Analysis?

The first step to investment analysis is identifying an investment opportunity. From there, an investor needs to determine whether this investment opportunity will create higher returns than other available investment options. Lastly, an investor will need to gauge whether the possible reward from this investment opportunity justifies the risks.

What Are the 2 Types of Investment Analysis Methods?

The two main types of investment analysis methods are fundamental analysis and technical analysis. Fundamental analysis involves analyzing the fundamental aspects of a company, such as its revenues, profits, cash flows, and operating expenses. It also takes into consideration the larger economy and how it might affect a company. Technical analysis looks at the patterns of stocks or other assets and uses charts and graphs to analyze the movement of prices. Technical analysis looks at past data to inform future data.

What Is an Investment Analyst?

An investment analyst is an individual who analyzes financial assets and the broader economy to make investment decisions for a firm. They spend their time analyzing the financial statements of companies and the performance of the economy through government data, such as GDP, unemployment, inflation, and more. Investment analysts gather data, sort this data, analyze it, and come up with conclusions based on their research. They then recommend buying or selling assets, whether those be stocks, bonds, commodities, or other assets.

Before making any investment decision, investors need to perform an investment analysis. They need to analyze the overall economy, specific industries, economies, and global politics, to get an understanding of where they can find value and where they can avoid risks. Though there are different types of investment analysis, the goal is always to find the best place to put money for the right risk-reward ratio.

International Business Times. " Warren Buffett's 'Bottom Up' Approach to Investing Is What's Needed In Trying Times ."

BlackRock. " Weekly Commentary, Nov. 20, 2023 ," Pages 1 and 4.

investment analysis research paper topics

  • Terms of Service
  • Editorial Policy
  • Privacy Policy

Financial Management Research Paper Topics

Academic Writing Service

Financial management research paper topics have emerged as an essential part of contemporary education in business and economics. As financial management continues to evolve with global economic changes, the need for research and analysis in this area grows. This article provides a comprehensive guide for students who study management and are assigned to write research papers on various aspects of financial management. From understanding the diverse topics to learning how to write an impactful research paper, this page offers valuable insights. Additionally, it introduces iResearchNet’s writing services, specifically tailored to assist students in achieving academic excellence. The content is structured to guide students through topic selection, writing, and leveraging professional services to meet their academic goals. Whether a novice or an advanced student of financial management, this resource offers a multifaceted perspective on the vast and dynamic field of financial management research.

100 Financial Management Research Paper Topics

The field of financial management offers a vast array of research paper topics. This complex discipline touches every aspect of business operations, influencing strategic planning, decision-making, and organizational growth. Below, you will find a comprehensive list of financial management research paper topics, divided into 10 categories. Each category offers 10 unique topics that cater to various interests within financial management. These topics have been carefully selected to reflect the richness and diversity of the subject.

Academic Writing, Editing, Proofreading, And Problem Solving Services

Get 10% off with 24start discount code, financial planning and control.

  • The Role of Budgeting in Financial Planning
  • Strategic Financial Management in SMEs
  • The Impact of Working Capital Management on Profitability
  • Ethical Considerations in Financial Planning
  • Risk Management in Financial Planning
  • Cost Control Techniques in Manufacturing
  • Financial Decision-making Processes in Non-profit Organizations
  • The Impact of Inflation on Financial Planning
  • International Financial Planning Strategies
  • The Relationship between Corporate Governance and Financial Planning

Investment Analysis and Portfolio Management

  • The Efficient Market Hypothesis: A Critical Analysis
  • The Role of Behavioral Finance in Investment Decisions
  • Modern Portfolio Theory and Its Limitations
  • Risk and Return Analysis in Emerging Markets
  • Socially Responsible Investment Strategies
  • The Impact of Political Instability on Investment Decisions
  • Real Estate Investment Trusts (REITs): An In-depth Study
  • Impact of Technology on Portfolio Management
  • Mutual Funds vs. ETFs: A Comparative Study
  • The Role of Artificial Intelligence in Investment Management

Corporate Finance

  • Capital Structure Decisions in Startups
  • The Role of Dividends in Corporate Financial Management
  • Mergers and Acquisitions: Strategic Financial Analysis
  • Corporate Financing in Developing Economies
  • An Analysis of Venture Capital Financing
  • The Impact of Corporate Social Responsibility on Financial Performance
  • The Role of Financial Management in Business Turnaround Strategies
  • Debt Financing vs. Equity Financing: A Comparative Analysis
  • Corporate Financial Risk Management Strategies
  • Financing Innovation: Challenges and Opportunities

International Financial Management

  • Exchange Rate Dynamics and International Financial Decisions
  • The Role of International Financial Institutions in Economic Development
  • Cross-border Mergers and Acquisitions
  • Globalization and Its Impact on Financial Management
  • International Tax Planning Strategies
  • Challenges in Managing International Financial Risk
  • Currency Risk Management in Multinational Corporations
  • International Capital Budgeting Decisions
  • The Impact of Cultural Differences on International Financial Management
  • Foreign Direct Investment Strategies and Financial Management

Financial Markets and Institutions

  • The Role of Central Banks in Financial Stability
  • The Evolution of Microfinance Institutions
  • The Impact of Regulation on Banking Operations
  • An Analysis of Stock Market Efficiency
  • Financial Derivatives and Risk Management
  • The Role of Technology in Financial Services
  • A Study of Financial Crises and Regulatory Responses
  • Peer-to-Peer Lending Platforms: A New Paradigm
  • The Role of Credit Rating Agencies in Financial Markets
  • The Future of Cryptocurrency in the Financial Landscape

Personal Finance Management

  • Financial Literacy and Personal Investment Decisions
  • The Role of Technology in Personal Finance Management
  • Retirement Planning Strategies
  • Impact of Consumer Behavior on Personal Financial Decisions
  • Personal Finance Management in the Gig Economy
  • A Study of Personal Bankruptcy Trends
  • Credit Card Management Strategies for Individuals
  • The Effect of Education on Personal Financial Management
  • The Role of Financial Counseling in Personal Finance
  • Estate Planning: A Comprehensive Analysis

Risk Management

  • Enterprise Risk Management: A Strategic Approach
  • The Role of Insurance in Financial Risk Management
  • Financial Innovations in Risk Management
  • A Study of Credit Risk Management in Banks
  • Risk Management Strategies in Supply Chain Finance
  • Cyber Risk Management in Financial Institutions
  • The Impact of Climate Change on Financial Risks
  • A Study of Operational Risk Management in the Healthcare Sector
  • Behavioral Aspects of Risk Management
  • Crisis Management and Financial Stability

Financial Technology (FinTech)

  • The Rise of Blockchain Technology in Finance
  • The Impact of FinTech on Traditional Banking
  • Regulatory Challenges in the Age of FinTech
  • Financial Inclusion through FinTech Innovation
  • Artificial Intelligence in Financial Services
  • The Future of Cryptocurrencies: Opportunities and Risks
  • A Study of Peer-to-Peer Lending Platforms
  • FinTech and Consumer Privacy: Ethical Considerations
  • Mobile Banking: An Evolutionary Study
  • The Role of Big Data Analytics in Financial Decision Making

Ethics and Sustainability in Finance

  • Ethical Investing: Trends and Challenges
  • Corporate Social Responsibility Reporting in Finance
  • Sustainable Finance in Emerging Economies
  • Environmental, Social, and Governance (ESG) Criteria in Investment
  • The Impact of Business Ethics on Financial Performance
  • The Role of Sustainability in Corporate Financial Strategy
  • Green Bonds and Financing Sustainable Development
  • Social Impact Investing: Opportunities and Challenges
  • A Study of Gender Equality in Financial Institutions
  • Financial Strategies for Achieving Sustainable Development Goals

Accounting and Finance

  • Forensic Accounting: Techniques and Case Studies
  • The Role of Management Accounting in Financial Decision-making
  • International Financial Reporting Standards (IFRS) Adoption
  • The Impact of Taxation on Financial Management
  • Accounting Information Systems: An In-depth Analysis
  • The Role of Auditing in Corporate Governance
  • Accounting Ethics: A Study of Professional Conduct
  • Environmental Accounting and Sustainable Development
  • The Effect of Automation on Accounting Practices
  • A Comparative Study of GAAP and IFRS

The extensive list above offers a broad spectrum of financial management research paper topics. They cater to different academic levels and areas of interest, providing a wealth of opportunities for students to explore the multi-dimensional world of financial management. The selection of these topics can lead to exciting discoveries and insights, pushing the boundaries of existing knowledge in the field. Whether it’s understanding the intricate dynamics of global finance or delving into the ethical considerations in investment decisions, these topics serve as starting points for thought-provoking research that can shape future practices in financial management. By choosing a topic from this comprehensive list, students embark on a journey of intellectual exploration that can contribute to both academic success and the broader understanding of financial management in the modern world.

Financial Management and the Range of Research Paper Topics

Financial management is a multifaceted discipline that stands at the intersection of economics, business administration, and finance. It governs the planning, organizing, directing, and controlling of financial activities within an organization or individual framework. In an ever-changing global economy, the importance of financial management cannot be overstated. It empowers organizations and individuals to make informed decisions, manage risks, and achieve financial stability and growth. This article delves into the vast domain of financial management and explores the wide array of research paper topics it offers.

A. Definition and Core Concepts of Financial Management

Financial management refers to the efficient and effective management of money to achieve specific objectives. It involves processes and tasks such as budgeting, forecasting, investment analysis, risk management, and financial reporting. The primary goals are to maximize shareholder value, ensure liquidity, and maintain solvency.

  • Budgeting and Forecasting : These processes involve planning and estimating future financial needs and outcomes. They guide decision-making and help in aligning resources with organizational goals.
  • Investment Analysis : This includes evaluating investment opportunities and determining the most profitable and sustainable investments.
  • Risk Management : This aspect focuses on identifying, evaluating, and mitigating financial risks, including market risk, credit risk, and operational risk.
  • Financial Reporting : This entails the preparation and presentation of financial statements that accurately reflect the financial position of an organization.

B. Importance of Financial Management

  • Ensuring Financial Stability : Effective financial management helps in maintaining the financial health of an organization or individual by ensuring a balance between income and expenditure.
  • Optimizing Resources : It enables the optimal utilization of resources by aligning them with short-term and long-term goals.
  • Strategic Planning : Financial management plays a key role in strategic planning by providing insights into financial capabilities and constraints.
  • Enhancing Profitability : By making informed investment and operational decisions, financial management enhances the profitability of an organization.

C. Modern Trends and Challenges in Financial Management

The evolution of technology, globalization, regulatory changes, and societal expectations have shaped modern financial management. Some noteworthy trends and challenges include:

  • Financial Technology (FinTech) : The integration of technology into financial services has revolutionized banking, investing, and risk management.
  • Globalization : The interconnectedness of global markets presents both opportunities and challenges in managing international financial operations.
  • Sustainability and Ethics : The growing focus on environmental, social, and governance (ESG) criteria has led to ethical investing and sustainable finance.
  • Regulatory Compliance : Navigating the complex regulatory landscape is a challenge that requires constant adaptation and vigilance.

D. Range of Research Paper Topics in Financial Management

The vastness of financial management offers a rich source of research paper topics. From exploring the intricacies of investment analysis to understanding the ethical dimensions of finance, the possibilities are endless. The following are some broad categories:

  • Corporate Finance : Topics related to capital structure, mergers and acquisitions, dividend policies, and more.
  • Investment and Portfolio Management : Including research on investment strategies, portfolio optimization, risk and return analysis, etc.
  • International Financial Management : This encompasses studies on exchange rate dynamics, global financial strategies, cross-border investments, etc.
  • Risk Management : Topics include various risk management techniques, insurance, financial innovations in risk management, etc.
  • Personal Finance Management : This field covers financial planning for individuals, retirement strategies, credit management, etc.
  • Financial Technology : Blockchain, cryptocurrencies, mobile banking, and more fall under this innovative domain.
  • Ethics and Sustainability in Finance : Research in this area may focus on ethical investing, corporate social responsibility, green financing, etc.

Financial management is an expansive and dynamic field that intertwines various elements of finance, economics, and business administration. Its importance in today’s world is immense, given the complexities of the global financial system. The array of research paper topics that this subject offers is indicative of its diversity and depth.

From traditional concepts like budgeting and investment analysis to modern phenomena like FinTech and sustainability, the world of financial management continues to evolve. It invites scholars, practitioners, and students to explore, question, and contribute to its understanding.

The range of research paper topics in financial management offers avenues for academic inquiry and practical application. Whether it’s investigating the effects of globalization on financial strategies or exploring personal finance management in the gig economy, there’s a topic to spark curiosity and inspire research. These research endeavors not only enrich academic literature but also play a crucial role in shaping the future of financial management. In a rapidly changing world, continuous exploration and learning in this field are essential to remain relevant, innovative, and responsible.

How to Choose Financial Management Research Paper Topics

Choosing the right research paper topic in the field of financial management is a critical step in the research process. The chosen topic can shape the direction, depth, and impact of the research. Given the wide array of subfields within financial management, selecting a suitable topic can be both exciting and challenging. Here’s a comprehensive guide to assist you in choosing the ideal financial management research paper topic.

1. Understand Your Interest and Strengths

  • Assess Your Interests : Consider what aspects of financial management intrigue you the most. Your enthusiasm for a subject can greatly enhance the research process.
  • Identify Your Strengths : Understanding where your skills and knowledge lie can guide you towards a topic that you can explore competently.
  • Connect with Real-world Issues : Relating your interests to current industry challenges or trends can make your research more relevant and engaging.

2. Consider the Scope and Depth

  • Define the Scope : A clear understanding of the scope helps in keeping the research focused. Too broad a topic can make the research vague, while too narrow may limit your exploration.
  • Determine the Depth : Decide how deep you want to delve into the topic. Some subjects may require extensive quantitative analysis, while others may be more theoretical.

3. Examine Academic and Industry Relevance

  • Align with Academic Requirements : Ensure that the topic aligns with your course objectives and academic requirements.
  • Analyze Industry Needs : Consider how your research could contribute to the industry or address specific financial management challenges.

4. Evaluate Available Resources and Data

  • Assess Data Accessibility : Ensure that you can access the necessary data and information to conduct your research.
  • Consider Resource Limitations : Be mindful of the time, financial, and technological resources that you’ll need to complete your research.

5. Review Existing Literature

  • Analyze Previous Research : Review related literature to identify gaps, controversies, or emerging trends that you can explore.
  • Avoid Duplication : Ensure that your chosen topic is unique and not merely a repetition of existing studies.

6. Consult with Experts and Peers

  • Seek Guidance from Faculty : Consulting with faculty or mentors can provide valuable insights and direction.
  • Collaborate with Peers : Discussions with classmates or colleagues can help in refining ideas and getting diverse perspectives.

7. Consider Ethical Implications

  • Evaluate Ethical Considerations : Ensure that your research complies with ethical guidelines, especially if it involves human subjects or sensitive data.
  • Reflect on Social Impact : Consider how your research might influence society, policy, or industry standards.

8. Test the Feasibility

  • Conduct a Preliminary Study : A small-scale preliminary study or analysis can help in gauging the feasibility of the research.
  • Set Realistic Goals : Ensure that your research objectives are achievable within the constraints of time, resources, and expertise.

9. Align with Career Goals

  • Consider Future Applications : Think about how this research might align with your career goals or professional development.
  • Build on Past Experience : Leveraging your past experiences or projects can lend depth and continuity to your research.

10. Stay Flexible and Adaptable

  • Be Open to Change : Research is often an iterative process; being flexible allows for adaptation as new insights or challenges emerge.
  • Maintain a Balanced Perspective : While focusing on your chosen topic, keep an open mind to interrelated areas that might enrich your research.

Choosing the right financial management research paper topic is a nuanced process that requires careful consideration of various factors. From understanding personal interests and academic needs to evaluating resources, ethics, and feasibility, each aspect plays a significant role in shaping the research journey.

By following this comprehensive guide, students can navigate the complexities of selecting a suitable research paper topic in financial management. The ultimate goal is to find a topic that resonates with one’s interests, aligns with academic and professional objectives, and contributes meaningfully to the field of financial management. Whether delving into the dynamics of risk management or exploring the impact of FinTech innovations, the chosen topic should be a catalyst for inquiry, creativity, and growth.

How to Write a Financial Management Research Paper

Writing a research paper on financial management is a rigorous process that demands a thorough understanding of financial concepts, analytical skills, and adherence to academic standards. From selecting the right topic to presenting the final piece, each step must be methodically planned and executed. This section provides a comprehensive guide to help students craft an impactful financial management research paper.

1. Understand the Assignment

  • Read the Guidelines : Begin by understanding the specific requirements of the assignment, including formatting, length, deadlines, and the expected structure.
  • Clarify Doubts : If any aspect of the assignment is unclear, seek clarification from your instructor or mentor to avoid mistakes.

2. Choose a Strong Topic

  • Identify Your Interest : Select a topic that interests you, aligns with your strengths, and meets academic and industry relevance. Refer to the previous section for detailed guidelines on choosing a topic.

3. Conduct Extensive Research

  • Explore Varied Sources : Use academic journals, textbooks, online databases, and industry reports to gather diverse perspectives and evidence.
  • Evaluate the Credibility : Ensure that the sources are credible, relevant, and up-to-date.
  • Organize Your Findings : Maintain well-organized notes, including source citations, to facilitate smooth writing later.

4. Develop a Thesis Statement

  • Define Your Focus : Craft a clear and concise thesis statement that outlines the central argument or purpose of your research.
  • Align with the Evidence : Ensure that your thesis is well-supported by the evidence you have gathered.

5. Create an Outline

  • Structure Your Paper : Plan the structure of your paper, including the introduction, body, and conclusion.
  • Organize Ideas : Arrange your ideas, arguments, and evidence logically within the outline.

6. Write a Compelling Introduction

  • Introduce the Topic : Provide background information and context to the reader.
  • Present the Thesis : Clearly state your thesis to guide the reader through your research.
  • Engage the Reader : Use compelling language to create interest in your study.

7. Develop the Body of the Paper

  • Present Your Arguments : Use clear and concise paragraphs to present each main idea or argument.
  • Support with Evidence : Include relevant data, charts, graphs, or quotations to support your claims.
  • Use Subheadings : Subheadings can help in organizing the content and making it more reader-friendly.

8. Include Financial Analysis

  • Apply Financial Models : Use relevant financial models, theories, or frameworks that pertain to your topic.
  • Perform Quantitative Analysis : Utilize statistical tools, if necessary, to analyze financial data.
  • Interpret the Results : Ensure that you not only present the numbers but also interpret what they mean in the context of your research.

9. Write a Thoughtful Conclusion

  • Summarize Key Points : Recap the main arguments and findings of your paper.
  • Restate the Thesis : Reiterate your thesis in light of the evidence presented.
  • Provide Insights : Offer insights, implications, or recommendations based on your research.

10. Revise and Edit

  • Review for Clarity : Read through the paper to ensure that the ideas flow logically and the arguments are well-articulated.
  • Check for Errors : Look for grammatical, spelling, and formatting errors.
  • Seek Feedback : Consider getting feedback from peers, tutors, or mentors to enhance the quality of your paper.

11. Follow Formatting Guidelines

  • Adhere to Citation Style : Follow the required citation style (APA, MLA, etc.) consistently throughout the paper.
  • Include a Bibliography : List all the references used in the research in a properly formatted bibliography.
  • Add Appendices if Needed : Include any supplementary material like data sets or additional calculations in the appendices.

Writing a financial management research paper is a complex task that demands meticulous planning, diligent research, critical analysis, and clear communication. By adhering to these detailed guidelines, students can craft a research paper that not only meets academic standards but also contributes to the understanding of intricate financial management concepts.

Whether exploring investment strategies, corporate finance, or financial risk management, a well-crafted research paper showcases one’s analytical capabilities, comprehension of financial principles, and the ability to apply theoretical knowledge to real-world scenarios. It is an invaluable exercise in intellectual exploration and professional development within the realm of financial management.

iResearchNet Writing Services

For custom financial management research paper.

For students who are striving to excel in their academic journey, but are grappling with the challenges of creating a robust financial management research paper, iResearchNet comes to the rescue. With an array of quality writing services tailored to suit your unique needs, we are here to help you achieve your academic goals. Here’s an overview of our unique offerings, aimed at providing you the best in custom financial management research paper writing.

  • Expert Degree-Holding Writers : Our team comprises handpicked writers, each holding degrees in finance or related fields. They come with a wealth of experience in academic writing, industry exposure, and a deep understanding of financial management concepts. They have the expertise to delve into complex topics and transform them into comprehensive, high-quality research papers.
  • Custom Written Works : At iResearchNet, we believe every assignment is unique. We offer bespoke services, writing each paper from scratch, ensuring it matches your specific requirements and academic level. Our writers create well-structured, argumentative, and analytically sound papers that reflect original thinking.
  • In-Depth Research : We recognize the importance of thorough research in crafting a superior financial management paper. Our writers dive deep into a variety of resources, extracting relevant information, data, and insights to ensure that your paper is rich in content, evidential support, and critical analysis.
  • Custom Formatting : We adhere to the formatting style of your choice – APA, MLA, Chicago/Turabian, or Harvard. Our writers are adept at applying these styles to your paper, ensuring that every citation, reference, and the general layout complies with the required academic standards.
  • Top Quality : Our commitment to quality is uncompromising. Each paper goes through a rigorous quality check, ensuring clarity of thought, precision of language, validity of arguments, and the overall coherence of the paper.
  • Customized Solutions : We recognize that each student has unique needs. Our writers engage in a collaborative process with you to understand your academic objectives, style preferences, and specific requirements to provide a custom solution that best fits your needs.
  • Flexible Pricing : We offer our premium services at competitive prices. We believe that every student deserves access to quality writing services, and our flexible pricing system ensures our services are affordable.
  • Short Deadlines : Faced with a tight deadline? No worries. We can handle urgent orders, with turnaround times as short as three hours for certain assignments, without compromising on quality.
  • Timely Delivery : We respect your timelines and are committed to delivering your paper well within your specified deadline, giving you ample time for review and revisions, if needed.
  • 24/7 Support : Our dedicated customer service team is available around the clock to answer your queries, resolve any issues, and provide updates on your order status.
  • Absolute Privacy : We have stringent privacy policies in place to ensure the confidentiality of your personal information and order details. We guarantee that your data will never be shared with third parties.
  • Easy Order Tracking : Our user-friendly online platform enables you to easily track your order’s progress, communicate with the writer, and manage all aspects of your order conveniently.
  • Money Back Guarantee : Your satisfaction is our ultimate goal. If, for any reason, you are not satisfied with our services, we offer a money-back guarantee, assuring you that your investment is safe with us.

With iResearchNet, you can rest assured that your financial management research paper is in capable hands. We understand the challenges that come with academic writing and strive to offer a comprehensive, stress-free solution that caters to your specific needs. Our core values of quality, integrity, and customer satisfaction drive us to deliver top-tier services that elevate your academic journey.

Leave the daunting task of research and writing to us, and focus on what truly matters – learning, understanding, and applying financial management concepts. So, reach out today, and let us help you turn your academic challenges into opportunities for growth and success!

Unlock Your Potential with iResearchNet – Your Partner in Academic Success!

Are you ready to take your financial management research paper to the next level? The journey to academic excellence is filled with challenges, but you don’t have to face them alone. With iResearchNet’s team of highly qualified writers and industry experts, we’ve got your back!

1. Embrace Quality and Excellence: We are not just offering a service; we are offering a partnership in your academic success. Our carefully crafted research papers are more than mere assignments; they are learning tools, meticulously designed to help you understand and excel in financial management.

2. Save Time, Learn More: By trusting us with your research paper, you free yourself to focus on understanding core financial management concepts, preparing for exams, or engaging in other valuable educational pursuits. Let us handle the intricate details of research and writing.

3. Invest in Your Future: This is more than just another paper; it’s a step towards your future career in finance. Our expertly crafted custom papers can be your gateway to deeper insights and better grades.

Why Wait? Let’s Get Started!

The clock is ticking, and your deadline is fast approaching. Our expert writers are standing by, ready to transform your requirements into a masterpiece of academic writing. With iResearchNet, you are not just buying a paper; you are investing in knowledge, quality, and your future success.

Take action today. Click the link below, fill in the details, and start your journey towards academic excellence with iResearchNet. Experience the difference that professionalism, quality, and personalized service can make in your academic life.

Order Now – Let iResearchNet Guide You to Success!

Order high quality custom paper.

investment analysis research paper topics

  • Write my thesis
  • Thesis writers
  • Buy thesis papers
  • Bachelor thesis
  • Master's thesis
  • Thesis editing services
  • Thesis proofreading services
  • Buy a thesis online
  • Write my dissertation
  • Dissertation proposal help
  • Pay for dissertation
  • Custom dissertation
  • Dissertation help online
  • Buy dissertation online
  • Cheap dissertation
  • Dissertation editing services
  • Write my research paper
  • Buy research paper online
  • Pay for research paper
  • Research paper help
  • Order research paper
  • Custom research paper
  • Cheap research paper
  • Research papers for sale
  • Thesis subjects
  • How It Works

Top 140 Finance Research Paper Topics

finance topics

Why finance topics? The search for interesting finance topics is a constant one. Of course, this is understandable because knowledge of hot topics in finance puts you ahead of the game. Students or researchers who major in business will, at one point or the other in their careers, make presentations, and submit research papers, essays,or help with dissertation or projects. With the headache of writing these papers aside, the challenge of picking finance topics always looms around. We have, therefore, carried out extensive research to present you with these 30 finance topics that will make your paper worth reading! When in doubt, this list of finance topics will surely come in handy to shed some light on that darkness!

Finding Excellent Topics in Finance

We offer you 30 researchable topics in finance. But why should we only catch fish for you if we can teach you how to fish too? The need to find unique topics in finance is on the increase. Here are some excellent tips that will help you choose appropriate finance topics:

  • Find out unanswered questions from previous research works or develop on areas that require additional study.
  • Read several theses to form ideas.
  • Check economics topics . They may be more general but you can narrow down some of them.
  • Search online for related topics that are unique, or make them unique to suit your purpose.
  • Discuss your chosen topic with other students or people who have experience writing dissertations asking for their input.

Research Topics In Finance

In financial research, unique topics are pivotal to the overall success of the study. The reason for this is simple. Now put yourself in the shoes of professors who have read hundreds of theses and essays. They already know common topics that students like to write or work on. A hot research topic in finance will surely catch the attention of your professor and will likely earn you better grades. Writing finance research papers becomes much easier when you have superb finance research topics.

Here is a finance research topics list that will spark people’s interest in your research work and make your finance research paper worth reading! Ready for these research topics in finance? Read on!

  • Merger and Acquisition: An Analytical Study of the Benefits and Set-backs.
  • Capital Asset Pricing Model: Possible Solutions to its Inadequacies.
  • Global Financial Crisis: A Critical Study of the Role of Auditors and Stakeholders.
  • The Impact of Manipulating the Commodity Market on Future Commerce.
  • Continuous-time Models: An exhaustive Comparative Analysis of its Application in Divers financial Environments.
  • How Speculations Undermine the Stability of Banking in Asian Markets.
  • Branding: Its Effect on Consumer Behavior.
  • An effective strategy for managing inventory and controlling your budget.
  • An analytical report on the various investments in tax-saving products.
  • Using a systematic investment strategy to build stability for retail investments.
  • How income tax is planned and implemented in India’s economy.
  • A detailed analysis of how the Indian banking system operates.
  • How does multi-level marketing work in different economies around the world?
  • A detailed report on electronic payment and how it can be improved.
  • A case study regarding senior citizen investment portfolios.
  • Are there potential risks and rewards when comparing savings to investments?
  • Is ratio analysis an effective component of financial statement analysis?
  • How the Indian economy functions with its current banking operations.

Finance Research Topics For MBA

Here are some great finance research topics you can use toward your MBA. It’s sure to intrigue your professor and get you to look at finance from a different perspective.

  • Investment analysis of a company of your choice.
  • A detailed report on working capital management.
  • Financial plans and considerations for saving taxes and salaried employees.
  • A detailed analysis of the cost and costing models of the company of your choice.
  • The awareness of investments in financial assets and equity trading preference with financial intermediaries.
  • The perspective of investors and their involvement with life insurance investments.
  • A detailed analysis of the perception of mutual fund investors.
  • The comparative study between UIL and the traditional products.
  • A detailed report on how the ABC company manages cash.

Corporate Risk Management Topics

These are some key topics you can use relating to corporate risk management.

  • A detailed report on the fundamentals of corporate risk management.
  • The analytical concepts relating to effective corporate and financial management within a company.
  • How does corporate risk management affect the financial market and its products?
  • What are risk models and how are they evaluated?
  • How is market risk effectively measured and managed in today’s economy?
  • How can a company be vigilant of potential credit risks they can face?
  • What are the differences between operational and integrated risks in the corporate world?
  • Is liquidity an effective strategy to lower financial risk to a company?
  • How risk management can connect with and benefit investment management.
  • The current issues that are affecting the modern marketplace and the financial risks they bring.

Healthcare Finance Research Topics

These are some key topics you can use relating to healthcare finance research.

  • Is it better for the government to pay for an individual’s healthcare?
  • The origins of healthcare finance.
  • An analysis of Canada and their healthcare finance system.
  • Is healthcare financing a right or a privilege?
  • The changing policies of healthcare in the U.S.
  • Can healthcare be improved in first-world countries?
  • Can the healthcare system be improved or remade?
  • How much influence does the government have on healthcare in a country?
  • The impact of growing global health spending.
  • Is free healthcare achievable worldwide?

Corporate Finance Topics

Corporate finance deals with processes such as financing, structuring of capital, and making investment decisions. It seeks to maximize shareholder value by implementing diverse strategies in long and short-term financial planning.

Corporate finance research topics broadly cover areas like tools for risk management, trend research in advanced finance, physical and electronic techniques in securities markets, research trends in advance finance, investment analysis, and management of government debt. The following corporate finance topics will surely minimize any risk of mistakes!

  • Using the Bootstrapped Interest Rates to Price Corporate Debt Capital Market Instruments.
  • Corporate Organizations: The Impact of Audit Independence on Accountability and Transparency.
  • Buybacks: A Critical Analysis of how Firms can Buy Back at Optimal Prices.
  • Merge and Acquisitions: Reasons why Firms still Overpay for bad Acquisitions.
  • Corporate Finance: Ethical Concerns and Possible Solutions.
  • Understanding the investment patterns relative to smaller and medium-capitalization businesses.
  • A detailed analysis of the different streams of investment relating to mutual funds.
  • Equity investors and how they manage their portfolios and perception of potential risks.
  • How does investor preference operate in the commodity market in Karvy Stock Broking Limited?
  • An analysis of the performance of mutual funds in the public and private sectors.
  • Understanding how Videcon manages its working capital.
  • The Visa Port trust and how it conducts ratio analysis.
  • How the gold monetization scheme has affected the Indian economy and banking operations.
  • How does SWIFT work and what are the potential risks and rewards?
  • A detailed analysis of the FMC and SEBI merger.

Business Finance Topics

Every decision made in a business has financial implications. It is, therefore, essential that business people have a fundamental understanding of finance. To show your knowledge, you must be able to write articles on finance topics in areas such as financial analysis, valuation, management, etc. Here are some juicy business finance topics!

  • Application of Business Finance: Its importance to the Business Sector.
  • The Importance of Business Finance in the Establishment of Business Enterprises.
  • Modernization of Business: Roles of Business Finance in Business Modernization.
  • A detailed study on providing financial aid to self-help groups and projects.
  • Is tax an effective incentive for selling life insurance to the public?
  • Understanding how the performance of mutual funds can change within the private and public sectors.
  • Is there a preference for different investment options from financial classes?
  • A detailed analysis of retail investors and their preferences and choices.
  • A study on investors and their perspective on investing in private insurance companies.
  • How analyzing financial statements can assess a business’s performance.
  • Increasing the accountability of corporate entities.
  • Ethical concerns connected to business finance and how they can be managed.
  • The level of tax paid by small to medium businesses.

International Finance Topics

As the world is now a global village, business transactions occur all around the world. No more are we limited to local trade, and this is why the study of international is essential and relevant. Here are some international finance topics that will suit your research purpose!

  • Stock Exchange: How Important are the Functions of a Bank Office?
  • Global Economic Crises: Possible Precautions to prevent Global Financial crisis.
  • Bond Rating: the Effect of Changes on the Price of Stocks.
  • How the Banking Industry can Decrease the Impact of Financial Crisis.
  • Is it possible for a country to budget funds for healthcare for the homeless?
  • The negative impact of private healthcare payments on impoverished communities.
  • What sectors in healthcare require more funding at the moment?
  • The dilemma of unequal access to adequate healthcare in third world countries.
  • Can cancer treatment be more inexpensive to the public?
  • The problem with the high pricing of medication in the U.S.
  • Is there a better way to establish healthcare financing in the U.S?
  • What are the benefits of healthcare finance systems in Canada and the UK?
  • How can third-world countries improve their healthcare systems without hurting their economy?
  • Is financing research a priority in healthcare and medicine?
  • Does free healthcare hurt the tax system of a country?
  • Why is free and privatized healthcare present in different economies?
  • How does government funding affect healthcare finance systems?
  • How do patient management systems work?
  • Where does affordable healthcare financing fit in growing economies?
  • The economic impact of COVID-19 in various countries.
  • The healthcare policies of the Serbian government.

Finance Research Paper Ideas

Writing a research paper requires an independent investigation of a chosen subject and the analysis of the remarkable outcomes of that research. A finance researcher will, therefore, need to have enough finance research paper topics from which to choose at his fingertip. Carefully selecting a finance thesis topic out of the many finance research papers topics will require some skill. Here are some exciting finance paper topics!

  • Behavioral Finance versus Traditional Finance: Differences and Similarities.
  • Budgetary Controls: The Impact of this Control on Organizational performance.
  • Electronic Banking: The Effect of e-Banking on Consumer Satisfaction.
  • Credit and Bad Debts: Novel Techniques of management in commercial Banks.
  • Loan Default: A Critical Assessment of the Impact of Loan Defaults on the Profitability of Banks.
  • A detailed analysis of the best risk management methods used in the manufacturing industry.
  • Identifying and measuring financial risks in a derivative marketplace.
  • Exploring the potential risks that can occur in the banking sector and how they can be avoided.
  • The risks that online transactions bring.
  • What are the methods used to ensure quantitive risk management is achieved?
  • A better understanding of policy evaluation and asset management.
  • What makes traditional finance so different from behavioral?
  • The significance of budgetary control in a corporate organization.
  • How do loans benefit the profitability of banks?
  • How do commercial banks assist their clients that are in bad debt?
  • The various considerations we need to be aware of before making investment decisions.

Personal Finance Topics

Personal finance covers the aspects of managing your money, including saving and investing. It comprises aspects such as investments, retirement planning, budgeting, estate planning, mortgages, banking, tax, and insurance. Researching in this area will surely be of direct impact on the quality of living. Here are some great personal finance topics that are eager to have you work on them!

  • Evaluation of Possible Methods of Saving while on a Budget.
  • The Effect of Increase in Interest Rate and Inflation on Personal Finance.
  • Benefits of Working from Home to both Employers and Employees.
  • Will dental services be considered an essential medical service soon?
  • Is affordable or free healthcare a right that everyone should be entitled to?
  • The best ways to save money while on a tight budget.
  • What happens to personal finance when inflation and interest rates rise?
  • The financial benefits of working from home.
  • Does innovations in personal finance act as an incentive for households to take risks?
  • A detailed analysis of credit scores.
  • The importance of credit and vehicle loans.
  • A detailed analysis of employee benefits and what should be considered.
  • The effect of tax on making certain financial decisions.
  • The best ways to manage your credit.
  • The difficulties that come with mobile banking.

Finance Topics For Presentation

Sometimes, you may need to present a topic in a seminar. The idea is that you can whet the appetite of your audience with the highlights of your subject matter. Choosing these finance seminar topics requires a slightly different approach in that you must be thoroughly familiar with that topic before giving the presentation. Interesting and easy-to-grasp finance topics are, therefore, necessary for presentations. Here are some topic examples that fit perfectly into this category.

  • Analysis of the Year-over-Year Trend.
  • Maximizing Pension Using Life Insurance.
  • The Architecture of the Global Financial System.
  • Non-communicable diseases and the burden they have on economies.
  • Is there a connection between a country’s population and its healthcare budget?
  • The spending capability of medical innovations in a third-world economy.
  • The long-term effects of healthcare finance systems in the U.S.
  • A detailed analysis of pharmaceutical marketing in eastern Europe.
  • Understanding the reduction in medical expenses in Greece.
  • Private payment for healthcare in Bulgaria.
  • A complete change in healthcare policy worldwide. Is it necessary?
  • The significance of electronic banking on the public.
  • The evolution of banking and its operations.

So here we are! Surely, with this essay on finance topics that you have read, you’ll need only a few minutes to decide your topic and plunge into proper research! If you need professional help, don’t hesitate to contact our economics thesis writers .

Leave a Reply Cancel reply

investment analysis research paper topics

Academia.edu no longer supports Internet Explorer.

To browse Academia.edu and the wider internet faster and more securely, please take a few seconds to  upgrade your browser .

  •  We're Hiring!
  •  Help Center

Investment Analysis and Portfolio Management

  • Most Cited Papers
  • Most Downloaded Papers
  • Newest Papers
  • Last »
  • Investment Portfolio Management Follow Following
  • Risk Aversion Follow Following
  • Portfolio Management Follow Following
  • Time Series Analysis and Forecasting Follow Following
  • Dividend Policies Follow Following
  • Capital Structure Follow Following
  • Risk Management Follow Following
  • Portfolio Optimization Follow Following
  • Financial Economics Follow Following
  • Financial management Follow Following

Enter the email address you signed up with and we'll email you a reset link.

  • Academia.edu Journals
  •   We're Hiring!
  •   Help Center
  • Find new research papers in:
  • Health Sciences
  • Earth Sciences
  • Cognitive Science
  • Mathematics
  • Computer Science
  • Academia ©2024

Latest Research Proposal-Prospectus Topics.

  • While writing the research proposal for your thesis or developing a Research prospectus for your Ph.D .; ensure that you get a great topic idea and develop it into a researchable topic sentence.
  • The topic is only relevant if it has the right variables and is not generic or broad, does not focus on one specific theory but addresses a research gap that is recent, feasible, and interesting.
  • Our research support desk is the best option for your Master's or Ph.D. research assistance if you are stuck or if you need ideas. 

Our service Advantage

01. - Develop a Relevant Research Topic.

You need to have a great research idea that addresses a relevant research gap. We are more than willing to support you, let us know.

02. - Defend & have your Topic Approved.

If possible, review or have your topic approved by your supervisor or senior research advisor so that you do not start and later stall midway.

03. - You can now Start your Research Process.

When your topic has finally been approved & is researchable, you can now start the research process : We can help you Step by Step.

 Factors that Determine How Long it Takes to Come up with an Outstanding Research Proposal Topic!

Our Service Process

Investment Research Topics | Research Ideas & Topic Samples

Most current research topic examples on investment;.

✔ A Study on the Importance of Credit and Financial Services for Individuals’ Growth and Investment:   The goal of the research will be to highlight the contribution of financial services providers in facilitating investments by individuals. As a result of the study, it will be determined whether credit and financial institutions have an upper hand in promoting the growth of an individual’s investment. Consider working with our research topics helpers if you are looking for trustworthy  research topics on investment  writing firm .

Here are more samples of research ideas on topics on investment research you can explore;

V. Risk Management:   This section will examine different types of investment risk, such as market risk and liquidity risk, and evaluate various risk management strategies. It will also examine hedging techniques and other methods of managing risk. By managing risk effectively, investors can protect their capital and minimize potential losses, while still capitalizing on profitable investment opportunities.

Investment research topics help researchers to understand the process of investing, allowing investors to make informed decisions and minimize risk. By conducting thorough macroeconomic, industry, and company analyses, investors can identify potential opportunities and build a well-diversified portfolio. Understanding different investment strategies and risk management techniques can further enhance an investor's chances of success. It's worth noting that the investment landscape is constantly evolving, and future research will be needed to stay up-to-date with the latest trends and developments. Nonetheless, by continuing to conduct thorough investment research, investors can position themselves for success in the ever-changing world of finance.

Investment Banking Research Topics & Titles – Interesting Project Topics

Below are a few samples of the latest  research topics on investment.

  • Mergers and Acquisitions : This project topic examines the factors that drive M&A activity and the role of investment bankers in facilitating M&A transactions. It also involves analyzing the impact of M&A on shareholder value and identifying strategies that can enhance the success of M&A transactions. Understanding the complexities of M&A transactions is crucial for investment bankers as they play a critical role in facilitating these transactions.
  • Initial Public Offerings (IPOs): This banking project topic focuses on the IPO process and its challenges, including the factors that influence IPO pricing and the impact of IPOs on the financial market. The study of IPOs is essential for investment bankers as they are often involved in underwriting and facilitating the IPO process for companies. By understanding the IPO process and its complexities, investment bankers can provide better insights to clients and make informed investment decisions.
  • Debt Capital Markets: This research idea is among the most explored investment Banking research topics and it examines the role of debt capital markets in investment banking and evaluates the trends and developments in the debt capital markets. It also involves assessing the risks and rewards of investing in the debt capital markets. Understanding the debt capital markets is crucial for investment bankers as it is a major source of financing for corporations and governments. By analyzing the debt capital markets, investment bankers can provide valuable insights to clients and make informed investment decisions.
  • Equity Capital Markets : This project topic focuses on the role of equity capital markets in investment banking and investigates the factors that influence equity market performance. It also involves analyzing the impact of equity capital markets on corporate finance. Understanding the equity capital markets is crucial for investment bankers as it is a major source of financing for corporations. By studying the equity capital markets, investment bankers can provide valuable insights to clients and make informed investment decisions.

Briefly, this paper has provided an overview of different research topics to explore in the field of investment banking and project title samples. It has highlighted the importance of investment banking research and its impact on the financial industry. The paper has covered various topics such as mergers and acquisitions, initial public offerings, debt, and equity capital markets, and provided insights into the key aspects of each project topic. The paper has also suggested future research directions based on the limitations of the research conducted in the paper. The information provided above is useful for researchers and students who are interested in exploring project topics in the field of banking. The paper is a valuable resource for anyone looking to identify new areas for research and make a meaningful contribution to the field of investment banking research.

A List of Recent & Up To Date Research Titles About Investment;

Investment strategies and techniques are ever-evolving, and staying current with research can provide investors with an edge in an increasingly complex market. Below is a list of some of the most recent and up-to-date research titles as of 2023. Whether you're an academic, a financial professional, or an individual with a keen interest in investment trends, these research titles will offer you a comprehensive look into the current landscape of investment research.

1. “ Behavioral Economics and Investment Decisions: The New Paradigm ” The research on this project title dives into the intersection of psychology and economics, examining how emotions, cognitive biases, and heuristics influence investor behavior. It suggests new models to predict market movements by accounting for irrational investor behavior.

2. “ Sustainable Investing: More than a Trend ” As environmental, social, and governance (ESG) issues become more important, this research title delves into the profitability and long-term viability of sustainable investing. It evaluates the performance of green bonds, ESG-focused mutual funds, and other investment vehicles compared to their traditional counterparts.

3. “T he Role of Artificial Intelligence in Modern Portfolio Management ” The advent of AI and machine learning has revolutionized several sectors, including investment management. This research title investigates the effectiveness of AI-driven investment strategies and how they compare with human-driven decisions.

4. “ Cryptocurrency Investments: Risk, Return and the Future of Finance ” Cryptocurrencies have seen a meteoric rise in popularity, and with that, increased scrutiny. This research title evaluates the risk and return characteristics of cryptocurrencies and discusses their potential role in diversified portfolios.

5. “ Impact of Global Political Shifts on Emerging Market Investments ” Emerging markets, with their potential for high returns, also come with heightened risks. This study looks into how political shifts, such as changing trade policies or political unrest, impact investor confidence and returns in these markets.

6. “ The Future of Real Estate: Virtual Realities and Tangible Returns ” With the rise of virtual reality (VR) and augmented reality (AR), the real estate sector has experienced changes. This research explores the potential for investment in virtual real estate and its implications for traditional real estate markets.

7. “ Alternative Assets in the Post-Pandemic World: Opportunities and Challenges ” The global pandemic reshaped economies and industries. This project title investigates how alternative assets like private equity, hedge funds, and commodities performed during and after the pandemic, offering insights into their future prospects.

8. “ The Influence of Regulatory Changes on Global Investment Strategies ” Regulations can significantly impact investment decisions. This research delves into recent regulatory changes worldwide and their implications for international investment strategies.

Staying updated with at least one of the latest research title about investment is vital for professionals, academics, and anyone interested in the world of finance. As global events like technological advancements, political shifts, and economic changes shape the investment landscape, these project titles provide valuable insights into the current state of affairs. Whether you're looking into the behavioral aspects of investing, the growing influence of AI, the opportunities in virtual real estate, or the future of cryptocurrencies, these research titles cover a wide spectrum of contemporary investment topics. Taking the time to delve into these studies could give you the knowledge edge you need in the rapidly changing world of investments.

Different Subject Areas

  • B.Ed . |  B.A . 
  • B.Com  |  BSc  
  • BSN  |  DBa  
  • DNP  |  Doctoral
  • Ed.D  |  M.Ed  |  RN  
  • Masters  |  MBA  
  • MBus  |  MCom
  • MEntr  |  Msc  
  • MSN  |  PhD  
  • Post graduate  
  • Undergraduate

Client Testimonials

Thanks a lot for the research topic writing Services!

Read More...

Quality & Reliable Services

  • Recent Topic Ideas
  • Dissertation Project Ideas
  • Case Study Topics 
  • Topic Writing Tips
  • Secrets to a Great Topic 
  • Literature Review Topics
  • Urgent Research Ideas Help
  • Topic Brief Assistance
  • Relevant Research Ideas
  • Thesis Title Defence
  • Topic Reviewing Aid
  • Significance in a Title
  • Base Paper Help

Topic Ideas by Paper Type

  • Dissertation Topics
  • Thesis Topics
  • Proposal Topics
  • Research Paper Topics
  • Capstone Project Topics

Remarkable Help

There are some services that we recommend for related services, they are reliable but subject to your review.

  • Literature Review Help
  • Methodology Writing Aid
  • Research Proposals Help
  • Research Writing Service
  • Best Thesis Writing  Help

Research Questions About Investment Topics For Project

  • Definition of investment: This section should provide a clear and concise definition of investment, highlighting the primary characteristics of an investment, such as the allocation of funds to an asset with the goal of generating a return. The definition should also emphasize the difference between investing and saving, as well as the importance of risk in the investment process.
  • Types of investment : This section should provide an overview of the different types of investment, including stocks, bonds, real estate, commodities, and alternative investments. Each type of investment topics should be defined, and the benefits and risks of each should be outlined. For example, stocks may offer the potential for higher returns but come with more significant risks than bonds, which may offer more stable returns but a lower potential for growth.
  • Benefits of investing : This section should outline the benefits of investing, such as the potential for capital appreciation, income generation, diversification, and tax advantages. Each benefit should be explained in detail, with examples and data to support the arguments. Additionally, the section should highlight the importance of investing early, consistently, and for the long term to maximize these benefits.
  • Evaluating an investment opportunity : This section should explore the different factors investors should consider when evaluating an investment opportunity, such as the financial health of the company, industry trends, and management experience. It should also explore the different tools and techniques investors can use to evaluate an investment, such as financial ratios, discounted cash flow analysis, and market trends analysis.
  • Key metrics to consider : This section should outline the different metrics investors should consider when evaluating an investment, such as return on investment, earnings per share, and debt-to-equity ratio. Handling the appropriate research project questions about investment topics in this area, they should explain how these metrics can be used to assess the financial health and potential growth of the investment opportunity.
  • Minimizing investment risks : This section should explore different strategies investors can use to minimize investment risks, such as diversification, asset allocation, and risk management. It should also explain how investors can use these strategies to balance risk and reward and maximize the potential returns of their investments.
  • What is portfolio management : This section in a project should define what portfolio management is, including the goals and objectives of managing an investment portfolio. It should also provide an overview of the different types of portfolios, such as growth portfolios, income portfolios, and balanced portfolios.
  • Building an investment portfolio : This section should provide a guide for building an investment portfolio, including how to select investments that align with the investor's goals and risk tolerance. It should also explore the different types of investment products that can be used to build a diversified portfolio, such as stocks, bonds, mutual funds, and exchange-traded funds.
  • Managing a portfolio over time : This section in a project should explore the strategies and techniques investors can use to manage their portfolio over time, such as rebalancing, tax-loss harvesting, and monitoring performance. It should also discuss how investors can adjust their portfolios to adapt to changing market conditions and investment goals.
  • What is market analysis : This topic for a project should define what market analysis is, including the types of data and information that are used in the process. It should also explore the different methods and techniques that can be used to conduct market analysis, such as technical analysis, fundamental analysis, and quantitative analysis.
  • Conducting a market analysis : This section should provide a guide for conducting a market analysis, including the research project questions about investment topics based on the different steps involved in the process, such as identifying the target market, analyzing market trends, and assessing competitive forces. It should also explore the different sources of data and information that can be used in the process, such as market research reports, financial statements, and economic indicators.
  • Key factors to consider : This section should outline the key factors that investors should consider when conducting a market analysis, such as market size, growth rate, market share, and competition. It should also explain how these factors can be used to assess the potential opportunities and risks of an investment.
  • Future of investment : This section should explore the potential future of the investment landscape, including the different trends and innovations that are shaping the industry. It should discuss how technology, such as artificial intelligence and blockchain, is changing the investment industry and creating new opportunities for investors.
  • Impact of technology : This section should delve into the impact of technology on investment, including how it is changing investment strategies, portfolio management, and risk management. It should also explore how technology is improving the efficiency and transparency of the investment process, while also creating new risks and challenges.
  • Changes in global economics : This section should discuss how changes in global economics, such as shifting demographics and geopolitical risks, are impacting the investment industry. It should explore how investors can adjust their investment strategies to adapt to these changes and take advantage of potential opportunities.

Overall, an investment topic serves to provide a summary of the key insights and implications of the research and to tie together the paper into a cohesive whole. Addressing the right research questions about investment topics for project assists the readers in having a clear understanding of the importance of the research and how it can be applied in practice. It should also encourage further research in the field by highlighting any gaps in knowledge and future areas of exploration. A well-crafted conclusion can help to solidify the research as a valuable contribution to the field of investment and can serve as a launching point for future research and investment strategies.

Developing an Interesting Investment Topic for your Project

  • Receive services at an affordable cost.
  • Submit a topic that impresses the readers and supervisors.
  • Identify research topics that are clear and unique.
  • Receive efficient services on a timely basis.

Get a Collection of Great & Researchable Project Ideas Here 

  • Well-constructed & quality topics.
  • The most recent topic ideas.
  • Ideas that are relevant to your course.
  • Need topic writers you can rely on 24*7? Ask here.

Exceptional Ph.D Dissertation Sample Ideas

RESEARCH TOPIC HELP.

[email protected]

 +1(813)489-6985  | Chat with Us

Reliable & Legit

100% original help.

We do not Plagiarize

We help Edit Plagiarism

Terms & Conditions

Copyright © 2024 Research Topic Help. All Rights Reserved

Let us know how we can help...

investment analysis research paper topics

Articles on Foreign direct investment (FDI)

Displaying 1 - 20 of 48 articles.

investment analysis research paper topics

In Lebanon, foreign investment soars despite ongoing challenges

Wissam Samia , Université de Picardie Jules Verne (UPJV)

investment analysis research paper topics

Demolitions in Ethiopia are giving rise to a new Addis Ababa – it comes at the expense of the city’s residents

Fikir Getaneh Haile , Queen's University, Ontario

investment analysis research paper topics

Corruption hurts businesses but digital tools offer the hope of fighting it, say manufacturers in Ghana and Nigeria

Samuel Adomako , University of Birmingham ; Joseph Amankwah-Amoah , Durham University ; Shlomo Tarba , University of Birmingham , and Zaheer Khan , University of Aberdeen

investment analysis research paper topics

African countries lost control to foreign mining companies – the 3 steps that allowed this to happen

Ben Radley , University of Bath

investment analysis research paper topics

Projects funded by the World Bank Group’s private sector arm fuel violent conflict – it’s time to reform the system

Brian Ganson , Stellenbosch University ; Anne Spencer Jamison , Copenhagen Business School , and Witold Jerzy Henisz , University of Pennsylvania

investment analysis research paper topics

Agoa trade deal talks: South Africa will need to carefully manage relations with the US and China

Arno J. van Niekerk , University of the Free State

investment analysis research paper topics

How action over parliamentary spying scandal could affect the UK’s economic relationship with China

Stephen Morgan , University of Nottingham

investment analysis research paper topics

Russia-Africa summit provides a global stage for Moscow to puff up its influence

Joseph Siegle , University of Maryland

investment analysis research paper topics

India could soon be the world’s third biggest economy – NZ needs to build the trade relationship urgently

Rahul Sen , Auckland University of Technology

investment analysis research paper topics

Hosting the World Cup: what Qatar can learn from South Africa about nation branding

Brendon Knott , Cape Peninsula University of Technology

investment analysis research paper topics

Nigeria’s 2023 budget is a plan of despair and won’t change the tempo of the economy

Stephen Onyeiwu , Allegheny College

investment analysis research paper topics

Foreign investment into Nigeria has fallen sharply: rights and freedoms may be one reason

David Fadiran , University of Cape Town

investment analysis research paper topics

Fed keeps focus on US economy as the world tilts toward a recession that it may be contributing to

D. Brian Blank , Mississippi State University

investment analysis research paper topics

Is the world retracting from globalisation, setting it up for a fifth wave?

Elsabe Loots , University of Pretoria

investment analysis research paper topics

Risky business: What protests and blockades could do to Canada’s global reputation

Julian Campisi , University of Toronto

investment analysis research paper topics

Africa can use great power rivalry to its benefit: Here is how

Folashade Soule , University of Oxford

investment analysis research paper topics

How the Bui Dam set up China’s future engagement strategy with Ghana

Kwame Adovor Tsikudo , University of Illinois at Urbana-Champaign

investment analysis research paper topics

COVID-19 has shone a light on how globalization can tackle inequality

Sylvanus Kwaku Afesorgbor , University of Guelph ; Binyam Afewerk Demena , International Institute of Social Studies , and Peter A.G. van Bergeijk , International Institute of Social Studies

investment analysis research paper topics

Areas in Africa with more Chinese-backed projects were more likely to experience protests

Bruno Martorano , United Nations University ; Francesco Iacoella , United Nations University ; Laura Metzger , Harvard Kennedy School , and Marco Sanfilippo , Università di Torino

investment analysis research paper topics

As China’s trade war with Australia shows, New Zealand must be careful to balance its own economic priorities

Hongzhi Gao , Te Herenga Waka — Victoria University of Wellington ; Ivy Guo , Te Herenga Waka — Victoria University of Wellington , and Monica Ren , Macquarie University

Related Topics

  • Peacebuilding

Top contributors

investment analysis research paper topics

Professor of Economics, University of the Witwatersrand

investment analysis research paper topics

Associate Professor of Strategy and Innovation, University of Birmingham

investment analysis research paper topics

Professor of Strategy & International Business, University of Birmingham

investment analysis research paper topics

Vice Dean and Faculty Director, ESG Inititative; Deloitte & Touche Professor of Management, University of Pennsylvania

investment analysis research paper topics

Researcher, Maastricht Economic and Social Research Institute on Innovation and Technology (UNU-MERIT), United Nations University

investment analysis research paper topics

Lecturer, Department of Banking and Finance, University for Development Studies

investment analysis research paper topics

Professor in Strategy and International Business, University of Aberdeen

investment analysis research paper topics

Lecturer/ Assistant Professor, Macquarie University

investment analysis research paper topics

Principal Fellow, Melbourne Business School

investment analysis research paper topics

PhD Research Fellow – Finance, University of Bolton

investment analysis research paper topics

Senior Research Associate, One Earth Future Foundation

investment analysis research paper topics

Professor of Business Studies, Trinity College Dublin

investment analysis research paper topics

Assistant Professor of International Business, School of Business, George Washington University

investment analysis research paper topics

Économiste, conseillère au CEPII, CEPII

investment analysis research paper topics

Professor of Economics and former Dean of the Faculty of Economic and Management Sciences, University of Pretoria

  • X (Twitter)
  • Unfollow topic Follow topic

COMMENTS

  1. 2139 PDFs

    Explore the latest full-text research PDFs, articles, conference papers, preprints and more on INVESTMENT ANALYSIS. Find methods information, sources, references or conduct a literature review on ...

  2. Investment Analysts Journal

    The Investment Analysts Journal is an international, peer-reviewed journal, publishing high-quality, original research four times a year. The journal publishes significant new research in finance and investments and seeks to establish a balance between theoretical and empirical studies. Papers written in any areas of finance, investment ...

  3. Investment: Articles, Research, & Case Studies on Investment- HBS

    Investment New research on investing from Harvard Business School faculty on issues including institutional investing, foreign direct investment, and investment activism.

  4. (PDF) Understanding Investments: Theories and Strategies

    PDF | On Jun 3, 2020, Nikiforos T. Laopodis published Understanding Investments: Theories and Strategies | Find, read and cite all the research you need on ResearchGate

  5. 120+ Research Topics In Finance (+ Free Webinar)

    A comprehensive list of research topics and ideas in finance, including corporate finance, fintech, banking and many more.

  6. (PDF) Comparative Analysis and Research of Investment Portfolio

    Additionally, this paper also utilizes comparative analysis by comparing the similarities, differences, and respective downsides and benefits of the four main research models.

  7. Impact of Artificial Intelligence on Investment: A Narrative Review

    The use of AI in investment, including machine learning- and quantitative-based tactics, is examined in this narrative review. High-frequency and algorithmic trading are quantitative tactics that take advantage of micro-market inefficiencies, whereas statistical arbitrage and trend follow profit on market trends.

  8. Investment Intention and Decision Making: A Systematic ...

    In combination with bibliometric and weight analysis, this review aims to propose a comprehensive approach to present quantitative and qualitative analyses of the rising elements influencing investors' intentions and behaviors in financial investment products.

  9. Full article: Impact of investment behaviour on financial markets

    This study aims to determine the impact of investment behavior on financial markets during COVID-19 with respect to the UK. This study is quantitative, where the data has been gathered from the pri...

  10. Investment Research Library

    Morningstar's investment research library contains in-depth insights from hundreds of global analysts on thousands of stocks, funds, bonds, and more.

  11. Topics

    We deliver more than 12,000 articles covering 60 investment disciplines. We're constantly adding content to help you stay current, get the latest ideas, and shape your conviction. Portfolio Management in Theory and Practice. Risk Management in Theory and Practice. Quantitative Finance. Regulation, Taxation, Governance, and Compliance.

  12. Finance Research Paper Topics: Interesting Finance Questions to Uncover

    As finance student entitle your paper from this list of research paper topics on finance. Explore suggested topics on various subjects such as behavioral finance, financial analysis, and capital markets.

  13. Top List of Financial Research Paper Topics to Choose From

    Finance Research Topics for MBA. The following list of research topics in finance would help you intrigue your professors and look at the discipline from a new perspective. Investment analysis of your chosen company. Capital management - a detailed report. Saving taxes - considerations and financial plans.

  14. Investment Portfolio: Articles, Research, & Case Studies on Investment

    Investment Portfolio New research on investment portfolios from Harvard Business School faculty on issues including how small investors can bet on the brands they love, and asset selection of private equity investors.

  15. Investment Intention and Decision Making: A Systematic Literature

    Previous research by Isidore et al. (2022), the implementation of industry analysis and/or the Company's analysis can increase the flexibility to achieve higher returns in the equity market, while ...

  16. Investment Return: Articles, Research, & Case Studies on Investment

    Investment Return. New research on investment return from Harvard Business School faculty on issues including how to allocate marketing resources to improve investment return, and how to better predict whether investing in a startup is likely to yield a strong return. Page 1 of 12 Results. 20 Aug 2020. Working Paper Summaries.

  17. Investment Analysis: Definition, Types, and Importance

    Investment analysis is researching and evaluating a stock or industry to determine how it is likely to perform and whether it suits a given investor.

  18. Financial Management Research Paper Topics

    The field of financial management offers a vast array of research paper topics. This complex discipline touches every aspect of business operations, influencing strategic planning, decision-making, and organizational growth. Below, you will find a comprehensive list of financial management research paper topics, divided into 10 categories.

  19. 140+ Best Finance Research Paper Topics For Students

    Corporate finance research topics broadly cover areas like tools for risk management, trend research in advanced finance, physical and electronic techniques in securities markets, research trends in advance finance, investment analysis, and management of government debt. The following corporate finance topics will surely minimize any risk of ...

  20. Investment Analysis and Portfolio Management

    View Investment Analysis and Portfolio Management Research Papers on Academia.edu for free.

  21. 27943 PDFs

    Explore the latest full-text research PDFs, articles, conference papers, preprints and more on INVESTMENT MANAGEMENT. Find methods information, sources, references or conduct a literature review ...

  22. "A study of factors affecting investment decisions in India: The KANO

    Whether the information investors look for while making investment are generally applicable to all sectors or are they sector specific is the research question the authors are trying to address in this paper. In India, many stock exchanges function but, BSE is one of the oldest and the biggest stock exchange.

  23. Innovative & Most Recent Investment Research Topics & Ideas

    The paper has covered various topics such as mergers and acquisitions, initial public offerings, debt, and equity capital markets, and provided insights into the key aspects of each project topic. The paper has also suggested future research directions based on the limitations of the research conducted in the paper.

  24. Foreign direct investment (FDI)

    Browse Foreign direct investment (FDI) news, research and analysis from The Conversation

  25. Guide to Broker-Dealer Registration

    Also, under a recently proposed rule, a broker-dealer would be required to treat (1) each account over which it exercises investment discretion as an advisory account, unless the investment discretion is granted by a customer on a temporary or limited basis and (2) an account as advisory if the broker-dealer charges a separate fee for, or ...