Home » Blog » Dissertation » Topics » Finance » International Finance » 25 International Finance Thesis Topics To Look For An Impressive Topic


25 International Finance Thesis Topics To Look For An Impressive Topic
By Adam Jul 30, 2018 in Finance , International Finance | No Comments
International finance thesis topics have strong overlaps with international economics topics, being an offshoot of global macroeconomics. This is because cross-country finance deals mostly with issues in global investment opportunities as well as the interplay of exchange rates. International finance research topics hence deal with a range of monetary exchanges between two or more nations. […]

International finance thesis topics have strong overlaps with international economics topics, being an offshoot of global macroeconomics. This is because cross-country finance deals mostly with issues in global investment opportunities as well as the interplay of exchange rates.
International finance research topics hence deal with a range of monetary exchanges between two or more nations. The following is a list of international finance project topics for the learner to browse through and pick a relevant title, based on his academic level and area of interest.
A list of international finance topics:
The following is a compilation of the most interesting dissertation topics in international finance:
A systematic literature review of the most important concepts in international finance.
Investigating the role of International Finance Corporation in developing countries- current practice and future implications.
Global recessions and accuracy in forecasts- an investigative analysis.
How does the size of a bank relate to its attitude towards lending to small family-led businesses? Investigations from the UK.
Company valuation using the within-company earnings multiplier- a growing concept.
Studying the international economic challenges as a result of globalization- evidence from the UK.
The risk-taking attitude of global banks- a study.
The impact of a common currency on the EU – an analysis.
Human resources, corporate social responsibility and voluntary disclosures in international firms- establishing the links.
Exchange rate determination- exploring the current challenges and limitations.
The drive to integrate monetary exchanges in a globalized world- a literature review.
Fixed exchange rates- and implications for global trade.
Impact of recent IFRS adoption as compared to prior GAAP periods- the case of the Czech Republic.
Shadow banking in the global environment- a study.
New BASEL regulatory requirements and implications for central European countries- an investigation.
A comparative analysis of government on different sectors and contributions to economic growth- the case of developing countries.
A comparative analysis of government on different sectors and contributions to economic growth- the case of developed countries.
Oil price determinants- an overview of global actors and moderators.
Saving the Amazonian rainforests through the International Finance Corporation Green Bonds- analysis of financial process and implications.
Monetary funding opportunities for wildlife preservation in Africa- exploring the feasibility of current practices by the IFC.
Exploring the current healthcare aid to Africa and the role of the IFC.
Financing green alternatives as substitutions for carbon consumption- exploring the monetary feasibility.
How can international macroeconomics solve international monetary problems? Building on current issues.
The state provided health care versus privately-sponsored healthcare- similarities, differences and comparative analysis.
The Chinese overseas banking trends- analyzing current situations against the backdrop of US economic policies.
There you go. Use the list well and let us know if you have any comments or suggestions for our topics related blog posts for the future or looking to get help with dissertation writing , send us an email at [email protected] .
Paid Topic Consultation Service
You will get the topics first as per the given requirements, and then the brief which includes;
- An explanation why we choose this topic.
- 2-3 research questions.
- Key literature resources identification.
- Suitable methodology with identification of raw sample size, and data collection method
- View a sample of topic consultation service
Get expert dissertation writing help to achieve good grades
By placing an order with us, you can get;
- Writer consultation before payment to ensure your work is in safe hands.
- Free topic if you don't have one
- Draft submissions to check the quality of the work as per supervisor's feedback
- Free revisions
- Complete privacy
- Plagiarism Free work
- Guaranteed 2:1 (With help of your supervisor's feedback)
- 2 Instalments plan
- Special discounts
Related Posts
- 37 Finance Dissertation Topics | Research Ideas May 26, 2020 -->
- 37 Islamic Finance Dissertation Topics | Research Ideas May 20, 2020 -->
- 21 Behavioural Finance Research Topics To Impress Your Supervisor September 11, 2018 -->
- 21 Dissertation Topics In Finance And Investment To Explore For Research July 26, 2018 -->
- 27 Corporate Finance Dissertation Topics To Get a Good Grade July 25, 2018 -->
- 25 Dissertation Topics In Banking And Finance To Explore For Research June 26, 2018 -->
- Call Us: +44 207 097 1871
- Email: [email protected]

PRICE CALCULATOR
Get upto 25% discount, estimated price: £.
After Discount: £
Download our step-by-step dissertation writing guide and samples to takes you from the title page to the reference Click here to download
Guidance At ZERO cost
Blog / 39 International Finance Dissertation Topics Examples
39 international finance dissertation topics examples.

International Finance Dissertation Topics
International finance is a sub-domain of international economics that has been developed to encompass an overall global economic sector. International finance thesis topics, therefore, include economics as a basic regime. International finance dissertation topics focus on financial aspects working among different nations and countries, basically the monetary exchanges and their impacts on the economies of the involved countries. Depending on the degree level and academic program, the research areas may differ in the domain of international finance. Check out our other related posts for research proposal topics in finance , financial management dissertation topics , and management accounting dissertation topics .
Best International Finance Dissertation Topics Ideas for college students
Given below is an extensive list of research topics in international finance:
- Asian regionalism and international finance: a review of the literature.
- Role of international finance in global imbalances and financial crisis: a descriptive study.
- Management and transformation of policy stigmas in the domain of international finance: a systematic analysis.
- Investigation of the US structural power in the field of international finance: a quantitative study.
- Historical analysis of international finance: connecting past with the present and the future.
- Risk management and control in the domain of international finance: focus on recent innovations.
- International finance in the developing countries of the world: a descriptive analysis.
- Studying the factors that affect the international finance corporation: a systematic study.
- Income convergence and international finance in European countries.
- Studying the institutional trajectory of international tax governance: a review of the literature.
- International financial management: the importance of project-based learning.
- Investigation of the financialization and emerging markets government borrowing capacity on an international level.
- State capitalism and international finance: a review of the literature.
- Emerging capital markets and international financial institutions in X country: a quantitative study.
- Debt, international finance, and stochastic optimal control: a correlational analysis.
- Central bank independence and international finance: a review of the literature.
- Implications of international financial institutions on corporate social responsibility in the developing countries of the world.
- The role played by policies and international financial institutions in emerging markets.
- International finance post-COVID-19 pandemic: challenges and interventions involved.
- International financial markets and moral hazards: a review of the literature.
- Place occupied by Russia in the international economic institutions: a systematic analysis.
- International financial architecture: uncovering the challenges and the solutions involved.
- Tax efficiency and structural transformation: a review of the literature.
- Cash holdings, investor protection, and managerial entrenchment: a correlational analysis.
- Foreign reserves accumulation and domestic financial instability in X country.
- Economic crises, income distribution, and international financial institutions: a correlation analysis.
- Information asymmetry in international finance: a descriptive approach.
- Global equity investing and international finance.
- International risk-sharing and international finance: a systematic analysis.
- World trading system and international finance: focus on the challenges and interventions.
- Economists forecasting recessions on international levels: a descriptive approach.
- Banking crises and public debt: focus on an international scenario.
- Financial stability and macroeconomic stability: a review of the literature.
- Studying the effects of globalization on the international risk sharing domain.
- Sources of international financial supervision: a review of the literature.
Above is the list of best international finance dissertation topics. If you are still searching for some other topics fill out the form below and get the topic mini proposal on international finance from our experts. Click here to place an order on international finance at 25% discounted rates.
- Dissertation How To (14)
- Free Samples (1)
- Literature Review (24)
- Methodology (9)
- Research Proposal (15)
- Research Topics (61)
- Accounting (5)
- Animation (3)
- Archeology (1)
- Architecture (1)
- Banking (1)
- Biology (3)
- Business Administration (1)
- Business Management (1)
- Chemistry (2)
- Communication (1)
- Computer Science (6)
- Construction (2)
- Consumer Behaviour (1)
- Criminology (1)
- Designing (1)
- Development Studies (1)
- Domestic Violence (1)
- Ecommerce (2)
- Economics (13)
- Education (2)
- Engineering (2)
- Environment (2)
- Fashion (1)
- Finance (13)
- Geology (2)
- History (2)
- Language (3)
- Management (21)
- Advertising (1)
- Branding (1)
- Digital Marketing (1)
- Medical (1)
- Critical Care (1)
- Dementia (1)
- Philosophy (1)
- Politics (1)
- Psychology (3)
- Psychotherapy (1)
- Real Estate (1)
- Science (2)
- Social Work (3)
- Sociology (1)
- Supply Chain Management (3)
- Tourism Marketing (1)
- Dissertation Help (26)
- Research Paper By Topics (82)
- Research Paper How To (3)
Recent Posts
- Are you Looking Someone to Do My Dissertation for me?
- 89+ Best Unique and Informative Speech Topics for Students
- Employment Law Dissertation Topics
- Construction Law Dissertation Topics

You will get the topics first as per the given requirements, and then the brief which includes:
- An explanation why we choose this topic.
- 2-3 research questions.
- Key literature resources identification.
- Suitable methodology with identification of raw sample size, and data collection method
- View a sample of topic consultation service
Note: After submiting your order please must check your email [inbox/spam] folders for order confirmation and login details.If email goes in spam please mark not as spam to avoid any communication gap between us.
By placing an order with us, you can get;
- Writer consultation before payment to ensure your work is in safe hands.
- Free topic if you don't have one
- Draft submissions to check the quality of the work as per supervisor's feedback
- Free revisions
- Complete privacy
- Plagiarism Free work
- Guaranteed 2:1 (With help of your supervisor's feedback)
- 2 Instalments plan
- Special discounts
Copyright © 2017-2023 - Dissertation-help.co.uk Dissertation help service for high schools colleges and university students - All rights reserved

WhatsApp and Get 35% off promo code now!
- Browse by author
- Browse by year
- Departments
- History of Thought
- Advanced search
This thesis contains three chapters. The first two chapters concentrate on the sovereign debt market and study how domestic holdings of government debt and financial intermediation influence yields and equilibrium debt levels. An innovative perspective emerges from these studies: Sovereign default risk and government yields crucially depend on the size of domestic debt and on its influence on the domestic credit market. This perspective surpasses the traditional view that exclusively relates sovereign default risk to the size of external debt and the economic cycle. The third chapter empirically investigates the functioning of international capital markets and the behavior of market participants. The chapter studies how the different return components of aggregate equity and bond markets influence mutual fund flows and vice-versa. Two interesting results emerge. Firstly, the non-contemporaneous correlation between flows and returns is found to be predictable at least in the short run. This result rejects the standard perfect market assumption in macro-models which implies that the correlation between flows and returns is strictly contemporaneous. Secondly, evidence is found that excess returns in the equity markets are driven by cash-flow news. This is in contrast with the typical finding in the literature that discount rates news is the main driver of excess returns. Identifying determinants of government incentives to default is central to understand how equilibrium prices and quantities iare determined in sovereign debt markets. The scholarly literature has focused on two factors to explain default risk: the size of external debt and the fluctuation of the economic cycle. While these two dimensions are certainly important, another aspect seems equally important: the internal versus external composition of debt. Reinhart and Rogoff (2008) empirically investigate the importance of domestic debt for sovereign default episodes and conclude that there is a “forgotten history of domestic debt”. While domestic debt dynamics are relevant to understand sovereign default risk, very little research has been devoted to it. The first chapter of my thesis fills in the gap by incorporating domestic debt in a theoretical model of sovereign default. This extension leads to three contributions. The first is a positive one. While standard sovereign default models (i.e. Arellano, 2008 and Aguiar and Gopinath, 2006) assume exogenous output costs to default, the introduction of domestic debt allows me to illustrate an endogenous mechanism linking defaults and output contractions through the credit market which is consistent with the empirics. The second contributions is quantitative. The introduction of domestic debt helps to reproduce the high debt to GDP ratios and the low frequency of default that is found in the empirics. Finally the last contribution is normative. When domestic investors act competitively domestic debt levels are found to be inefficiently low. A case is made for the introduction of Pigouvian subsidies that subsidize domestic purchases of government debt. Sovereign defaults and banking crises tend to come in pairs. Understanding the link between these two phenomena is relevant to understand how the risk of sovereign default is priced by financial markets. In the second chapter of the thesis I focus on the underlying mechanisms of contagion between public debt and bank’s balance sheet. Using disaggregated banking data I analyze empirically the channels through which sovereign debt crises transmit to the banking sectors. I find that one of the main propagation mechanism operates through the collateral channel. When the default risk is high the price of government debt falls and the value of the asset that banks can pledge as a collateral on the wholesale market for liquidity contracts. Funding difficulties transmit thorough the balance sheet to the credit supply . The cyclicality of credit supply magnifies the negative impact of sovereign debt crises on output and consumption reducing the ex-ante incentives of issuing domestic debt. Lenders of last resort may mitigate the contraction of the credit supply in bad times offering liquidity in exchange for government debt. Following the monetary authority intervention the credit market recovers, sovereign yields fall and higher debt levels become sustainable. The third chapter studies the functioning of international equity and bond markets and the behavior of its participant. The chapter focuses on the interaction between different return components of aggregate equity and portfolio flows. First, international equity and bond market returns are decomposed into changes in expectations of future real cash payments, interest rates, exchange rates, and discount rates. News about future cash flows, rather than discount rates, is the main driver of international stock returns. This evidence is in contrast with the typical results reported only for the US. Inflation news instead is the main driver of international bond returns. Next, the interaction between these return components and international portfolio flows is analyzed. Evidence consistent with price action, short-term trend chasing, and short-run overreaction in the equity market is found. International bond flows to emerging markets are found to be more sensitive to interest rate shocks than equity flows.
Actions (login required)
Downloads per month over past year
View more statistics

- Finance Projects
International Finance Thesis Topics
Published on Jan 09, 2023
- More Finance Projects
Related Pages
- Financial Accounting Projects Topics
- Finance Projects for MBA Free Download
- Finance Projects for MBA
- Finance Projects Topics for MBA
- Finance Project Report Sample
- Finance Project Report PDF
Seminarsonly
Browse Econ Literature
- Working papers
- Software components
- Book chapters
- JEL classification
More features
- Subscribe to new research
RePEc Biblio
Author registration.
- Economics Virtual Seminar Calendar NEW!


Research in International Business and Finance
- Publisher Info
- Serial Info
Corrections
Contact information of elsevier, serial information, impact factors.
- Simple ( last 10 years )
- Recursive ( 10 )
- Discounted ( 10 )
- Recursive discounted ( 10 )
- H-Index ( 10 )
- Euclid ( 10 )
- Aggregate ( 10 )
- By citations
- By downloads (last 12 months)
2022, Volume 62, Issue C
2022, volume 61, issue c, 2022, volume 60, issue c, 2022, volume 59, issue c, more services and features.
Follow serials, authors, keywords & more
New papers by email
Subscribe to new additions to RePEc
Public profiles for Economics researchers
Various research rankings in Economics
RePEc Genealogy
Who was a student of whom, using RePEc
Curated articles & papers on economics topics
Upload your paper to be listed on RePEc and IDEAS
EconAcademics
Blog aggregator for economics research
Cases of plagiarism in Economics
Job market papers
RePEc working paper series dedicated to the job market
Fantasy league
Pretend you are at the helm of an economics department
Services from the StL Fed
Data, research, apps & more from the St. Louis Fed
About RePEc
Initiative for open bibliographies in Economics
News about RePEc
Questions about IDEAS and RePEc
RePEc volunteers
Participating archives
Publishers indexing in RePEc
Privacy statement
Legal statement.
Found an error or omission?
Opportunities to help RePEc
Get papers listed
Have your research listed on RePEc
Open a RePEc archive
Have your institution's/publisher's output listed on RePEc
Get RePEc data
Use data assembled by RePEc

List of Research Papers Related to International Finance

IMAGES
VIDEO
COMMENTS
This thesis consists of three essays on international finance. The first essay is ”Exchange rates and Fundamentals”. A new open interest rate parity.
International finance thesis topics have strong overlaps with international economics topics, being an offshoot of global macroeconomics.
International finance thesis topics, therefore, include economics as a basic regime. International finance dissertation topics focus on financial aspects
Essays in international finance. Mallucci, Enrico (2014) Essays in international finance. PhD thesis, London School of Economics and Political Science.
50 Assignment Topics for International finance · Purchasing Power Parity, Wages and Inflation in Emerging Markets · Fixed exchange rates and
Explore International Finance Thesis Topics, Financial Management Projects Topics, Finance Project Topics List or Ideas, Accounting Based
This dissertation studies topics of international finance, such as con- ... This thesis is dedicated to my parents, who taught me to perform all of.
by Chai, Shanglei & Yang, Xiaoli & Zhang, Zhen & Abedin, Mohammad Zoynul & Lucey, Brian; S0275531922001453 Macroprudential regulation and financial
Title, Monitoring Commodity Markets - From the Perspective of Understanding Global Financial Market Trends. Date, Sept. 21, 2007.
INTERNATIONAL FINANCE AND GROWTH IN DEVELOPING COUNTRIES: WHAT HAVE WE LEARNED? Maurice Obstfeld. Working Paper 14691 http://www.nber.org/papers/w14691.