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Digital Commons @ USF > Muma College of Business > Finance > Theses and Dissertations

Finance Theses and Dissertations

Theses/dissertations from 2023 2023.

Do Industries' Political Profiles Affect Their Portfolio Return Performance? , Shaddy S. Douidar

Do Firms Overreact to the Enactment of Corporate Laws: Evidence from Anti-Price Gouging Laws , Mario Marshall

Theses/Dissertations from 2021 2021

Essays on CEO Personal Characteristics and Corporate Outcomes: Athlete CEOs and Foreign CEOs , Kirill Pervun

Theses/Dissertations from 2020 2020

Predictors of Economic Outlook in Stability Operations , Juan Carlos Garcia

The Warren Buffett Project: A Qualitative Study on Warren Buffett , Christian G. Koch

Theses/Dissertations from 2019 2019

Closing America’s Retirement Savings Gap: Nudging Small Business Owners to Adopt Workplace Retirement Plans , Peter W. Kirtland

Theses/Dissertations from 2018 2018

Growth Options and Corporate Goodness , Linh Thompson

Theses/Dissertations from 2017 2017

Essays on the Tax Policy and Insider Trading , Han Shi

Theses/Dissertations from 2016 2016

Two Essays on Lottery-type Stocks , Yun Meng

Theses/Dissertations from 2015 2015

Two Essays on IPOs and Asset Prices , Gaole Chen

Essays on the impact of CEO gender on corporate policies and outcomes , Nilesh Sah

Theses/Dissertations from 2014 2014

Essays on Corporate Finance , Hari Prasad Adhikari

Two Essays on Individuals, Information, and Asset Prices , Joseph Mohr

Two Essays on Investment , Bin Wang

Two Essays on Corporate Finance , Qiancheng Zheng

Theses/Dissertations from 2013 2013

Two Essays on Mergers and Acquisitions , Dongnyoung Kim

Two Essays on Politics and Finance , Incheol Kim

Two Essays on Stock Repurchases-The Post Repurchase Announcement Drift: An Anomaly in Disguise? and Intra Industry Effects of IPOs on Stock Repurchase Decisions , Thanh Thiet Nguyen

Two Essays on Investor Distraction , Erdem Ucar

Two Essays on Politics in Corporate Finance , Xiaojing Yuan

Theses/Dissertations from 2012 2012

On The Efficiency of US Equity Markets , Mikael Carl Erik Bergbrant

Two Essays on the Sell-side Financial Analysts , Xi Liu

Two essays on Corporate Restructuring , Dung Anh Pham

Two Essays on Corporate Governance , Yuwei Wang

Theses/Dissertations from 2011 2011

Capital Structure, Credit Ratings, and Sarbanes-Oxley , Kelly E. Carter

Institutional Investors and Corporate Financial Policies , Ricky William Scott

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Financial Management Bachelor's Theses

Theses/dissertations from 2023 2023.

Financial literacy and financial well-being: A mediation analysis of fintech services adoption among selected generation Z in Metro Manila , Justine Marie M. Abad, Domique John T. Hernandez, Nehemih D. Pabillon, and Arianne Mae M. Teves

The impact of CSR practices and reporting on firm performance: Evidence from selected ASEAN-5 banks , Sharina B. Ahmed, Dominique Margaret O. Co, Marby Christina Alyanna R. Macob, and Julianne Annika Y. Yu

The impact of green investments on Philippine energy firms’ financial performance: The moderating role of environmental policies , Byrne Joshua B. Al-ag, Jillian Beatrice Roselli T. Gaerlan, Sean Daron Magat Guintu, and Jameson A. Ng

Behavioral finance and market efficiency: The responsiveness of the Philippine market during the COVID-19 pandemic , Greisa Eguia Alano, Arhen Richmond Payumo Nuguid, and Kenneth Gabriel Sanvictores Rojas

Sustainable finance: An analysis of the ASEAN-4 universal banking sector's sustainable growth rate (SGR) and its risk factors , Bianca Elise S. Alejandrino, Armandeep K. Bhuller, Arnel Jorge N. Francisco II, and Jean Christian C. Peralta

The long memory effect in ASEAN-6 stock markets from 2006 to 2022: A rescaled range analysis , Tricia Q. Almandres, Sharmaine Rose G. Estor, Michaela Wencee S. Ng, and Audrey T. Reyes

An analysis of the effect and influence of macroeconomic factors on 10-year government bond Yields in the ASEAN-4 , Dan Joseph L. Andres, Ronnie-Lans T. Ayuyao, Nathan John N. Deypalan, and Jan Marcus C. Naguit

The effects of behavioral biases on investment decisions of Filipino millennials and generation Z: Moderating role of financial literacy , Liezl Katherine C. Ang, Jean Ashley A. Masanque, Johannah Mae C. Nacario, and Renna Mae M. Paguntalan

Panel regression analysis of the link between ESG indicators and financial performance in the energy and transportation Industry of ASEAN 5 countries: A sectoral perspective , Rafael Antonio C. Arellano, Skye Orin L. Libarnes, Meg Allen G. Maayo, Joaquin Francisco T. Sun, and Pedro Enrique S.A. Villamejor

Smart beta investing: A comparative study of fundamental accounting metrics and traditional market capitalization indices to measure the performance of the Philippine Stock Exchange , Miguel Benedicto Ramirez Argamosa, Faith Robles Del Rosario, Veronica Marielle Ferrer Delmo, and Miguel Antonio Rodriguez Merino II

The moderating effect of institutional quality on the relationship between financial inclusion and the profitability of commercial banks in selected ASEAN-5 countries: An analysis , Miguel Rene Q. Balboa, Timothy Karl R. Dela Torre, Alexandra Yzabella H. Lazaro, and Nishie S. Yao

The impacts of oil price shocks on the stock market index of the ASEAN-4 countries from January 2012 to October 2022: An analysis , Miguel Enrico V. Banzon, Beatriz Colleen S. Calimlim, Hesed Heindrick S. Cariño, and Siegfried Paolo B. Malabanan

Granger causality between stock market and selected macroeconomic indicators: Evidence from the Philippines , Kenneth Richard O. Bardullas, Vinzze Joseph T. Co, Aaron Henric P. Leung, and Alyzza Ariane J. Tadeo

Sustainable finance: The impact of selected green bonds on issuing firms' greenhouse gas emission (GHG) levels in selected ASEAN countries , Jomabelle C. Bautista, Mary Aubrey C. Calma, Ezekiel C. Camilo, and Krystell Abigail L. Tan

Can it walk the talk? Determining the validity of random walk hypothesis and technical analysis in the Philippine stock market , Hazel P. Bongolan, Bea Eliza A. Delos Reyes, Jenielle Joye T. Ho, and Cale Robert S. Rasco

Total factor productivity using Malmquist DEA on selected ASEAN-5 life insurers from 2007 to 2021: An analysis , John Allen C. Caballa, Riana Jade Y. Ng, Cherilyn G. Tan, and Jon Calvin C. Uy

The relationship between economic indicators and stock exchange index of ASEAN-4 countries: Indonesia, Malaysia, Philippines, and Thailand , Craig Jimver Mikael C. Camino, Micko Briel D. Del Pilar, Paul A. Fuentebella Jr., and Bryan Stephen A. Hong

Utilization of financial ratios in selected financial models to predict financial distress among food manufacturing companies in the Philippines , Simon Hongying G. Chen, Jelline C. Cheng, Lyka Mari C. Javier, and Janine F. Ong

Analyzing the causal effects of the major ASEAN-4 countries exchange rates against the Philippine peso on the volatility of the Philippine stock market returns , Richmond Ryan S. Chua, Yung Ching S. Shi, Willy W. Tang, and Rico J. Wu

Impact of mega-sporting events on the host countries’ stock market performance and economic growth: Evidenced from the Southeast Asian Games , Wendy Cai Chua, Se Jin Kaibigan Jeong, Catherine Ke Ke, and Michelle Chen Lin

An evaluation of logistic regression and random forest model as early warning system models for assessing an equity market crisis in ASEAN-5 + 3 countries , Allister James R. del Rosario, Anne Ysobel P. Guzman, Michelle O. Kohzai, and Jay Ruel B. Zape

A comparative analysis of the performance of machine learning models for predicting stock prices from the years 2012 to 2022: Evidence from the ASEAN 5 stock market indices , Sameer D. Dhanani, Hugh Leon B. Escaño, Jasmine L. Lim, and Isaiah Franz Dominique L. Pascual

Evaluating the volatility spillovers in the foreign exchange market during extreme events from 2007 to 2022 using the EGARCH model: Evidence from the ASEAN-5 countries , Helen L. Diaz, Jan Peter T. Ignacio, Melanie Grace V. Namol, and Abby Gail C. So

An analysis on the impact of crude oil prices and macroeconomic indicators on the ASEAN-5 stock market index: The 2022 Russian invasion of Ukraine , Sophia Anne B. Gallardo, Jasmine F. Kau, Christelle Joy V. Remegio, and Jaylyn M. Vibar

An analysis of the relationship between stock prices and financial ratios of banks based on the ASEAN-4 , Rica Anne A. Ko, Clarea Felice C. Lim, and Stacey Elaine T. Yap

Determinants of property sector profitability: Empirical evidence from the selected publicly listed real estate companies in the ASEAN-5 , France Gabriel D. Palileo, Miguel Faustino O. Mallari, Paul John S. Sison, and Mary Angeleen V. Teodosio

Financial literacy and fintech adoption among millennials in Metro Manila, Philippines: An analysis , Alyanna Marie L. Toh, Stacey Eunice U. Lee, Jason W. Su, and Athena Micah B. De Guzman

Theses/Dissertations from 2022 2022

Effects of volatilities on property sector indices of ASEAN-6 pre, during, and after the Global Financial Crisis and during the COVID-19 pandemic from 2006 to 2022 , Maria Charizza Acuña, Ernest Joseph Coronel, Margarita Lauren Cortez, and Nathalie Raika Julio

The impact of exchange rate volatility on the stock market index returns of select developed and developing Asian countries: An analysis , Alianne J. Alfonso, Mariela C. Cai, Erika Anne D. Jaurigue, and Sofia Eloisa U. Placino

Philippine financial institutions' counterparty default risk and stock price relationships: An analysis , Gerard Constantine Amano, Juwan Kenzie Gomez, Gilbert Angelo Juan, and Jan Michael Pioquinto

The effect of ESG activities on the financial performance of PSE listed companies during the COVID-19 pandemic—Evidence from the Philippines , Andrea Danielle S. Amil, Raizen Philippe M. King, Rondel Y. Ortiz, and Gweneth Allona Mikaela B. Te Tan

The impact of COVID-19 and specific control indicators on the performance of selected universal banks in the Philippines , Keana Aedrielle Modesto Ang, Bea Alexis Gotay Lim, Issey Miuccia Domminiq Uy Tan, and Jenny Huang Zhang

A study on the determinants of dividend payout policy: Evidence from the ASEAN-5 countries , Princess Askha Intal Artates, Mary Coshey Israel Dabatos, Claire Aimy Padilla Sendin, and Reynalyn Del Mundo Tenorio

Forecasting value-at-risk during crises in select ASEAN stock market indices through GARCH-EVT models , Janelle Fatima A. Balmaceda, Maxim Anthonnae M. Miranda, Mary Haniel Joy M. Parba, and Patricia Anne M. Zapanta

The relationship of the daily number of COVID-19 cases, lockdown classifications in the National Capital Region, and Philippine stock returns: An analysis , Beatrice Q. Bañagale, Dazle M. Edralin, Joaquin Pierre T. Guinto, and Isabelle Rhein D. Rivera

Financial development in the ASEAN 8: Impact of foreign direct investment and institutional quality , Katherine Marie F. Batto, Julie T. Caguioa, Sophia L. Cruz, and Sofia Julia S. Uy

The rise of fintech in the Philippines: A study on the impact of digital finance and demographics on financial inclusion and its effect on economic growth , Sofia Angeli M. Bobier, Gillian Clare O. Carbonilla, Alessandra Rayne L. Mallari, and Erika Marie D. Moleno

Investigating the long-term co-movement and spillover effects of the stock markets between the United States and the ASEAN-5 countries for the periods up to and after the 2008 Global Financial Crisis and the COVID-19 pandemic , James Paul Misa Calub, Stephanie Joyce Chua Chan, and Elisa Kyle Agulto Lim

The effect of credit and liquidity risk management practices on the profitability ratios of selected Philippine thrift banks , Renee Ysobelle S. Canlas, Jerlene E. Coronado, Joana Raquel S. Gianan, and Stephanie Mae C. Hu

A relationship between world oil prices and Philippine mining and oil sector index: A comparative study of multivariate GARCH approaches , Errol Stephen Santos Chan, Justin Matthew Carrasco Hou, Mychael John Llamado Ong, and Marcus Adrian Garyth Ejercito Tan

Evaluating the impact of competition on the profitability and the stability of the commercial banking sector: A case of selected Asian countries (2008-2020) , Gianina Jewel Paredes Chan, John Matthew Menco Chua, Jeanne Marie Lim Si, and Christian Rosales Sy

Examining financial performance of ASEAN REITs from 2020-2022 , Lorenz Dominick Santos Chon, Martin Clifford King Ornido, Bryce Harvey Angsanto Tan, and John Henderson Co Tan

An analysis on the total factor productivity of selected commercial banks in the ASEAN-5 countries using Malmquist-DEA analysis from 2006-2020 , Kervin T. Chua, Maria Jeanette C. Mallari, Joacquin Carlo A. Navales, and Chelsea Ann A. Yu

The impact of human development in the ASEAN 5 countries on financial inclusion (2015-2019): An analysis , Danica Deryll C. Condes, Justin Nicholas D. Nocum, and Kenneth C. Sevilla

Behavioral biases and demographic factors influencing Filipino’s investment decision during the COVID-19 pandemic: An empirical study , Chevy Louise G. De Guzman, Pierre Angelo A. Lopez, Alley Jill Q. Ocampo Tan, and Jannah Andre A. Seville

Relationship of information and communication technology (ICT) and stock market development (SMD): Empirical evidence using a panel of ASEAN-6 and East Asian-3 countries , Erica Jillian Allison S. Dela Cruz, Huihuang Shi, Edward Spencer D. Tan, and Micah Lovell V. Tan

Analysis of the impact of selected financial ratios and macroeconomic factors on share price: Empirical evidence from selected emerging ASEAN countries mining and oil sector , Marielle C. Dela Cruz, Kieza Francesca C. Garra, Samantha Rose V. Pontines, and Serin Hanbyeol A. You

Will the renminbi emerge as a safe-haven currency? Evidence from the tiger cub economies’ stock market volatility from 2016 to 2021 , Paolo Manuel D. Delfin, Kay Lin Ding, Hana Juniela N. Sebe, and Sofia Nicole C. Villanueva

Financial integration in ASEAN emerging markets: The relationship between macroeconomic variables and stock index performance from 2011 to 2020 , Loren Margaret Malabanan Dizon, Mico Angelo Pasion Magturo, Maria Nicole Sebastian Molina, and Rainiele Clarice Galaura San Juan

A comparative analysis of the risk-adjusted performance of Philippine active and passive equity funds before and during the COVID-19 pandemic , Luisa L. Dizon, Irvin Avery F. Ng, Audrey Nicole F. See, and Lance Spencer T. Yu

Information and communication technology (ICT), economic indicators, and banking sector indicators: Its impact on the ASEAN-5 countries' banking sector performance: An analysis , Piero Antonio D. Dominguez, Samantha Colleen M. Francisco, and Maria Regina T. Ignacio

Influence of digital finance accessibility on financial inclusion and bank stability: Evidence from the ASEAN , Jameson Esparas and Faustine Angela B. Zipagan

A study on Filipino investors and their intention to invest in mutual funds in the Philippines , Jaan Alexander Lacap Gana, Mauro Ramon Campos Lacson, Dheeraj Motiani, and Yu-jin Dacula Nam

A comparative study on the impact of COVID-19 pandemic and exchange rate on the stock market returns of the Philippines and Thailand , Jan Gavin Santos Go, Bea Jilian Banaag Llana, Reignard Alric Chong Uy, and Aaron Elian Lardizabal Yaneza

The significance of microfinance to Pototan rice farmers in the Philippines: An analysis , Mikaela Luis A. Gutierrez and John Dominic D. Hechanova

Comparative analysis of top cryptocurrencies to other financial markets , Chadwick Wayne G. Ilagan, Stephen C. Ong, and Juanito P. Valdecantos IV

The impact of sustainability reporting on corporate financial performance: A multilevel modelling approach using evidence from publicly listed companies in the Philippines , Julienne Elisha Q. Juan, David Joshua T. Marin, John Raymond D. Reyes, and Shaila Kimberly U. Sy

A comparative assessment of Benjamin Graham's stock selection criteria as quantitative investment strategy in ASEAN-5 markets post global financial crisis: An examination of the defensive and enterprising investor approach , Geoffrey James O. Lim, Jose Rafael M. Malamug, and Ethen Aldrich P. Panugayan

The effects of the adoption of blockchain technology on selected ASEAN banks’ stock performance: An event study , Angelo Gabriel G. Lopez, Joachim Santino G. Palacios, Romualdo Anton T. Rosas, and Samantha T. Santos

The effect of fintech on the efficiency of selected Philippine universal banks using DEA from 2010 to 2019 , Sarah Frances O. Ludo, Joaquin Vicente C. Sese, Leah Beatrice S.D. Tagabucba, and Regine Elixhea S. Torres

An assessment of risk management's mediating effect on financial innovation and bank's performance: A study of selected ASEAN-5 listed commercial banks from 2018-2020 , Raphael Gerardo Nisce, Louise Kate R. Ramirez, and Kataaki M. Watanabe

The effect of selected financial ratios and macroeconomic factors on stock price: A study of Bursa Malaysia Berhad's listed energy companies from 2015 to 2019 , Rexwin Anthony Osida, Joanne Chelsea B. Pecson, and Miguel Benedicto C. Tupas

Efficiency, financial performance, and stock returns of the food and beverage industry: A study on the ASEAN 5 , Jan Dominique O. Tan, Hanns Dominic W. Chen, Christian Lance L. Haw, and Queenie Yvette S. Shi

Theses/Dissertations from 2021 2021

A comparative study: Underpricing and long-run performance of initial public offerings in Singapore Exchange and Bursa Malaysia from 2007-2016 , Ann Nicole Louise L. Ang, Alexa May B. Domingo, Paula M. Maniulit, and Ysabel T. Maniulit

Women empowerment through microfinance: Twenty year historical data analysis of selected microfinance institutions in NCR and CALABARZON , Bianca Erica D. Bala, Cristina Mae Y. Chu, Paolo Tristan L. Chu, and Dustinmico S. Wee

The relationship of stock returns with systematic risk in the ASEAN-5 Region: A panel data approach analysis of the relationship prior to and during the COVID-19 pandemic , Wren Angelo Encarnacion Banaag, Maxinne Vaughn Julia Catoto De Guzman, and Kassandra Mari Banawa Luces

The impact of financial literacy, attitude, and behavior on financial well-being among Metro Manila residents , Erika Shaine Chong Bana Lim, Domingo Maria Carmona Garcia IV, Joiecel Labung Tan, and Alyssa Janine Hong Yao

The effect of the coronavirus (COVID-19) on the optimal portfolio composition of select industry sectors in the Philippines , Laxmir Roselle Magpantay Biacora, Ida Augusta Ramos Lim, Marc Ivan Pagtama Lanuza, and Denise Nicole Pimentel Lim

Cardinality-constrained approach: Small portfolios breakthrough in the Philippine market from January 2015 to December 2019 , Judely Ann Calipusan Cabador, Clarissa Lingat Calo-oy, Krisma Allu Gapasin Duldulao, and Juliene Faye Palmares Zamora

Empirical analysis: Application of specific GARCH models in examining stock market volatility , Adrianne Nicole J. Canonizado, Charles Lawrence L. Chua, Jon Pryce Y. Go, and Jackie C. Yu

The relationship between financial literacy and fraud detection between generation X and Y Filipinos in Metro Manila, Philippines , Elijah Climaco Castañeda, Eric Paul Mariano, and Mark Ildefonso M. Zurbano III

Evaluating early warning systems for currency crisis in select emerging ASEAN economies , Mikhaela Kristine R. Chan, Berndhart S. Co, Mary Khristine P. Juan, and Erryl Ron M. Lacanlale

A PLS-structural equation modelling of the role of financial inclusion, financial technology, financial stability, and bank competition on economic growth in ASEAN , Lou Marie Princess Dimalibot Chua, Richelyn May Pantig Chua, Kim Borja Fernandez, and Ericka Christian Ando Javate

A panel analysis of Philippine banks’ loan portfolio quality in relation to their bank lending rates, bank performance, and key accounts , Antonio Miguel Tayag Coronel, Lorenzo Jose Morales Prieto, Zach Gabriel Server Rapanot, and Xavier Maria Castro Roxas

An analysis on the effect of demographic characteristics and e-money usage towards bank account ownership in the Philippines , Miguel Carlos S. De Guzman, Zores Miguel A. Declaro, Vincent Thomas F. Garcia, and Dana Erika E. Julaton

A comparative analysis of the inflation hedging properties of gold, stocks, corporate bonds, and foreign currency in the Philippines from years 2011-2019 , Ma. Danielle Kyle L. de Jesus, Eduardo Wolfgang U. Gargarita, Dessa Fay A. Isubol, and Eira Jasmine H. Javaluyas

The impact of the COVID-19 pandemic on revenue diversification of selected banks in the ASEAN 5 countries , Alma Grace De Vera, Adrian Keith Deparene, Regina Sofia Ong, and Jonas Marvin Villar

Examining the impacts of environmental, social, and governance (ESG) considerations on millennials and generation Z’s investment attitudes and behaviors , Micaella Danielle Go, Mary Agnes Alita Grino, and Tyrone Kyle Jambalos

Behavioral factors influencing retail investors’ decision making during the COVID-19 pandemic: A study on the Philippine stock exchange , Justin Martin Meneses Jacaria, Ma. Isabel Anacleta San Jose Paredes, Matthew Jeremy Sacdalan Quismorio, and Gonzalo Philip Centennial Caligagan Exconde

Value investing and technical analysis in the Philippine Stock Exchange, investing in the five different sectors after the financial crisis of 2008 from the years 2010-2019 , Mathew Luis L. Marzan, James Ryan A. Sese, and Bryan Michael C. Yap

An analysis of the relationship between financial performance of Microfinance Institutions and the Sustainable Development Goals , Samuel Villacruz, Dallin Torio, Jing-Jing Go, and Carolyn Tan

Theses/Dissertations from 2020 2020

The effect of ASEAN-4 stock market volatility on the Japanese yen as a safe haven asset from 2003 to 2019 , Angela Angie Wu Chen, Kymberlin Rae Chan Cua, and Shiela Camille Chua Lao

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Theses and Dissertations (Financial Management)

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  • The impact of news on the South African sovereign bond market  Van der Westhuizen, Elizabeth-Ann ( University of Pretoria , 2022 ) A reverse event study approach is used to investigate how the South African sovereign bond yield curve react to headline news. Abnormal return dates in the zero-coupon yields are identified using GARCH models on the daily ...
  • Performance persistence of South African unit trust funds  Smith, Francois ( University of Pretoria , 2021-10 ) The optimality of active or passively managed investment fund alternatives is a contentious topic in the field of investment management. The efficient market hypothesis states that active funds should not be able to ...
  • The relationship between retirement planning and financial advice in South Africa  Hlabati, Kedibone ( University of Pretoria , 2020 ) Purpose: Retirement planning has been declining rapidly all over the world due to the shift of self-funding mechanisms, such as moving from a Defined Benefit (DB) plan to the Defined Contribution (DC) plan, where individuals ...
  • The value relevance of goodwill and its disclosure for companies listed on the JSE  Louw, Elmarie ( University of Pretoria , 2020 ) The value relevance of goodwill is a topic of ongoing discussion in accounting, because of the nature of this intangible asset, and changes in the accounting standards regarding the disclosure of goodwill and goodwill ...
  • The role and usage of suitable financial products for saving and investment purposes in South Africa  Sekgala, Eunice Raamabele ( University of Pretoria , 2020 ) The study focused on examining the saving and investment behaviours of South Africans. There has been no extensive research in existing literature that has focused on this area of study. This study intends to extend the ...
  • The value relevance of derivatives for South African listed companies  Toerien, Franz Eduard ( University of Pretoria , 2020 ) This study investigates the use of derivatives by firms listed on the Johannesburg Stock Exchange (JSE) during 2005 to 2017, and the disclosure of derivative financial instruments on the financial statements of these ...
  • Board characteristics and the financial performance and risk management of companies listed on the Johannesburg Stock Exchange  Kok, Gerrit S. ( University of Pretoria , 2020-09-16 ) The thesis investigated the relationship between multiple board characteristics and five performance and risk-management indicators. Following criticism against testing for linear relationships when it comes to corporate ...
  • Inter-relationship between the capital structure and distribution policies of companies listed on the JSE  Mvita, Mpinda Freddy ( University of Pretoria , 2020 ) Previous studies have invoked information costs, the trade-off theory and the pecking-order theory as well as agency problems to explain capital structure and distribution strategies independently. However, the theories ...
  • The relationship between retirement planning and financial literacy in South Africa  Dhlembeu, Nyasha Tapiwa ( University of Pretoria , 2018-10-31 ) There is a global shift with regard to the retirement provision of individuals as people have a greater responsibility towards their financial plans for retirement. Globally, there is a concern that people are not saving ...
  • Distribution policy and creation of shareholders' wealth : a study of firms listed on the Johannesburg Stock Exchange  Munzhelele, Ntungufhadzeni Freddy ( University of Pretoria , 2019 ) Dividend payout decisions remain one of the key functional areas in corporate finance, as it involves the means by which shareholders receive returns on their investments. For many decades, the academic debate on payout ...
  • The Saving Behaviour of University Students in South Africa  Kekana, Mamekwa Katlego ( University of Pretoria , 2014-10-31 ) This study was necessitated by the fact that, thus far, no prior research on the saving behaviour of young adults, particularly university students, had been undertaken in a South African context. The primary objective of ...
  • Behavioural aspects that influence business decision-making by management accounting professionals  Enslin, Zacharias ( University of Pretoria , 2019 ) In their traditional role as ‘bean-counters’, ‘scorekeepers’ and ‘controllers’, management accountants were frequently excluded from operational decision-making. Criticism by operational managers about management accountants’ ...
  • Underspecification in the macroeconomic Arbitrage Pricing Theory (APT) linear factor model and the role of the residual market factor  Szczygielski, Jan Jakub ( University of Pretoria , 2018 ) The linear factor model is a building block of the Arbitrage Pricing Theory (APT). Macroeconomic factors may be used in linear factor models to proxy for the pervasive influences in returns. However, as the true return ...
  • An analysis of effects of ownership on capital structure and corporate performance of South African firms  Dube, Tapiwa ( University of Pretoria , 2018 ) The question of whether ownership matters remains an important one in corporate financial policy. The types of owners of the means of production in an economy and the extent to which ownership is concentrated or diffused ...
  • The Impact of Macroeconomic Variables on Industrial Shares Listed on the JSE  Banda, Kamoto ( University of Pretoria , 2017 ) This study investigates the causal relationships, both long run and short run between the Industrial Index 25 and some macroeconomic variables in South Africa. Quarterly data from all the variables was collected from 1995 ...
  • An artificial intelligence model to predict financial distress in companies listed on the Johannesburg Stock Exchange  Van der Colff, Francois ( University of Pretoria , 2017 ) As a prerequisite for an informed decision, a company’s financial results are undoubtedly one of the most important aspects to be considered in a financial distress prediction model. To rely purely on financial results for ...
  • Perceptions of retirement adequacy in Lesotho : behavioural and socio-economic influences  Nthebe, Tokiso Evaristus ( University of Pretoria , 2017 ) Saving for retirement has become more complicated for employees due to the complexity of the financial decisions involved. Financial decision making is believed to be associated with a number of behavioural and socio-economic ...
  • The impact of capital structure on company profitability of industrial companies listed on the Johannesburg Stock Exchange  Hove, Ropafadzai ( University of Pretoria , 2017 ) This study empirically examines the impact of capital structure on the profitability of the industrial firms listed on the JSE over a period 2006-2015. The sample consists of 52 industrial companies with a complete data ...
  • Corporate governance and financial performance : a study of companies listed on the Johannesburg Stock Exchange  Tshipa, Johannes (Jonty) ( University of Pretoria , 2017 ) In the past two decades, corporate governance has received much attention from academics, investors and managers as well as from policymakers. This is mainly because of scandals and failures that have led to companies in ...
  • The relationship between financial literacy and saving habits : an analysis of black South Africans with a commercial tertiary education  Matemane, Matwale Reon ( University of Pretoria , 2016 ) Financial literacy has been identified in previous studies as an area that has not been researched extensively in South Africa. This is particularly true for Black South Africans who have been previously disadvantaged and ...

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Dissertations / Theses on the topic 'Financial risk management'

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Laurent, Marie-Paule. "Essays in financial risk management." Doctoral thesis, Universite Libre de Bruxelles, 2003. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/211221.

Zhang, Lequn. "Extreme Risk Forecast for Quantitative Financial Risk Management." Thesis, Curtin University, 2022. http://hdl.handle.net/20.500.11937/89362.

Gueye, Djibril. "Some contributions to financial risk management." Thesis, Strasbourg, 2021. http://www.theses.fr/2021STRAD027.

Wang, Mulong. "Financial derivatives in corporate risk management." Access restricted to users with UT Austin EID, 2001. http://wwwlib.umi.com/cr/utexas/fullcit?p3036610.

Schaumburg, Julia. "Quantile methods for financial risk management." Doctoral thesis, Humboldt-Universität zu Berlin, Wirtschaftswissenschaftliche Fakultät, 2013. http://dx.doi.org/10.18452/16675.

Genin, Adrien. "Asymptotic approaches in financial risk management." Thesis, Sorbonne Paris Cité, 2018. http://www.theses.fr/2018USPCC120/document.

Nikoci, Besjana <1989&gt. "Stress Testing for Financial Risk Management." Master's Degree Thesis, Università Ca' Foscari Venezia, 2015. http://hdl.handle.net/10579/6935.

Aas, Roar. "Risk management using derivatives." Thesis, Heriot-Watt University, 1993. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.262000.

Eriksson, Kristofer. "Risk Measures and Dependence Modeling in Financial Risk Management." Thesis, Umeå universitet, Institutionen för fysik, 2014. http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-85185.

Paltalidis, Nikolaos. "Essays on applied financial econometrics and financial networks : reflections on systemic risk, financial stability & tail risk management." Thesis, University of Portsmouth, 2015. https://researchportal.port.ac.uk/portal/en/theses/essays-on-applied-financial-econometrics-and-financial-networks(3534970d-eeba-4748-9812-d18430925664).html.

Černák, Peter. "Risk Management." Master's thesis, Vysoká škola ekonomická v Praze, 2009. http://www.nusl.cz/ntk/nusl-76579.

Zou, Lin. "Essays in financial economics and risk management." Thesis, [College Station, Tex. : Texas A&M University, 2007. http://hdl.handle.net/1969.1/ETD-TAMU-1476.

Graf, Mario. "Financial Risk Management State-of-the-Art /." St. Gallen, 2005. http://www.biblio.unisg.ch/org/biblio/edoc.nsf/wwwDisplayIdentifier/01665710001/$FILE/01665710001.pdf.

Ewers, Robin B. "Enterprise Risk Management in Responsible Financial Reporting." Thesis, Walden University, 2017. http://pqdtopen.proquest.com/#viewpdf?dispub=10637579.

Despite regulatory guidelines, unreliable financial reporting exists in organizations, creating undue financial risk-harm for their stakeholders. Normal accident theory (NAT) identifies factors in highly complex integrated systems that can have unexpected, undetected, and uncorrected system failures. High-reliability organization (HRO) theory constructs promote reliability in complex, integrated systems prone to NAT factors. Enterprise risk management (ERM) integrates NAT factors and HRO constructs under a holistic framework to achieve organizational goals and mitigate the potential for stakeholder risk-harm. Literature on how HRO constructs promote ERM in responsible integrated financial systems has been limited. The purpose of this qualitative, grounded theory study was to use HRO constructs to identify and define the psychological factors involved in the effective ERM of responsible organizational financial reporting. Standardized, open-ended interviews were used to collect inductive data from a purposeful sample of 13 reporting agents stratifying different positions in organizations that have maintained consistent operational success while attenuating stakeholder risk-harm. The data were interpreted via transcription, and subsequent iterative open, axial, and narrative coding. Results showed that elements of culture and leadership found in the HRO construct of disaster foresightedness and mitigation fostered an internal environment of successful enterprise reporting risk management to ethically achieve organizational goals and abate third-party stakeholder risk-harm. The findings will contribute to positive social change by suggesting an approach for organizations to optimize strategic objectives while minimizing stakeholders’ financial risk-harm.

Siyi, Zhou. "Essays on financial and insurance risk management." Thesis, Imperial College London, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.586894.

Abbas, Sawsan. "Statistical methodologies for financial market risk management." Thesis, Lancaster University, 2010. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.547964.

Ben, Hadj Saifeddine. "Essays on risk management and financial stability." Thesis, Paris 1, 2017. http://www.theses.fr/2017PA01E003/document.

Pillay, Levina. "Risk practitioner experiences of enterprise risk management in financial institutions." Diss., University of Pretoria, 2015. http://hdl.handle.net/2263/52296.

Shedden, Jason Patrick. "A qualitative approach to financial risk." Pretoria : [s.n.], 2006. http://upetd.up.ac.za/thesis/available/etd-05092007-152751.

Yao, Rui. "Patterns of financial risk tolerance 1983-2001 /." Columbus, Ohio : Ohio State University, 2003. http://rave.ohiolink.edu/etdc/view?acc%5Fnum=osu1060624755.

Yang, Xi. "Applying stochastic programming models in financial risk management." Thesis, University of Edinburgh, 2010. http://hdl.handle.net/1842/4068.

MORAES, ALEX SANDRO MONTEIRO DE. "ESSAYS IN FINANCIAL RISK MANAGEMENT OF EMERGING COUNTRIES." PONTIFÍCIA UNIVERSIDADE CATÓLICA DO RIO DE JANEIRO, 2015. http://www.maxwell.vrac.puc-rio.br/Busca_etds.php?strSecao=resultado&nrSeq=26131@1.

Haar, Lawrence. "Business cycles and the management of financial risk." Thesis, University of Surrey, 2000. http://epubs.surrey.ac.uk/844543/.

Zabarankin, Michael Yurievich. "Optimization approaches in risk management and financial engineering." [Gainesville, Fla.] : University of Florida, 2003. http://purl.fcla.edu/fcla/etd/UFE0001048.

Hays, Douglas C. "Enterprise risk management solutions a case study /." Monterey, Calif. : Naval Postgraduate School, 2008. http://handle.dtic.mil/100.2/ADA483512.

Derrocks, Velda Charmaine. "Risk management." Thesis, Nelson Mandela Metropolitan University, 2010. http://hdl.handle.net/10948/1480.

Bedendo, Mascia. "Density forecasting in financial risk modelling." Thesis, University of Warwick, 2003. http://wrap.warwick.ac.uk/2661/.

HADJI, MISHEVA BRANKA. "Measuring Financial Risks: The Application of Network Theory in Fintech Risk Management." Doctoral thesis, Università degli studi di Pavia, 2020. http://hdl.handle.net/11571/1344336.

Chen, Hua. "Contingent Claim Pricing with Applications to Financial Risk Management." Digital Archive @ GSU, 2008. http://digitalarchive.gsu.edu/rmi_diss/22.

Baldwin, Sheena. "Extreme value theory : from a financial risk management perspective." Thesis, Stellenbosch : Stellenbosch University, 2004. http://hdl.handle.net/10019.1/53743.

Yamashita, Mamiko. "Three Essays on Financial Risk Management and Fat Tails." Thesis, Toulouse 1, 2020. http://www.theses.fr/2020TOU10056.

Simonson, Peter Douglas. "Limiting Financial Risk from Catastrophic Events in Project Management." Diss., North Dakota State University, 2020. https://hdl.handle.net/10365/31939.

Madaleno, Mara Teresa da Silva. "Essays on energy derivatives pricing and financial risk management." Doctoral thesis, Universidade de Aveiro, 2011. http://hdl.handle.net/10773/7302.

Yazid, Ahmad Shukri. "Perceptions and practices of financial risk management in Malaysia." Thesis, Glasgow Caledonian University, 2001. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.364743.

Masie, Desné Rentia. "Mediating markets : financial news media and reputation risk management." Thesis, University of Edinburgh, 2014. http://hdl.handle.net/1842/14196.

Holifield, Suzanne Marie. "Risk management and hedge accounting decisions at financial institutions." Connect to resource, 1995. http://rave.ohiolink.edu/etdc/view.cgi?acc%5Fnum=osu1267632084.

Awiszus, Kerstin [Verfasser]. "Actuarial and financial risk management in networks / Kerstin Awiszus." Hannover : Gottfried Wilhelm Leibniz Universität Hannover, 2020. http://d-nb.info/1215427298/34.

Vuillemey, Guillaume. "Derivatives markets : from bank risk management to financial stability." Thesis, Paris, Institut d'études politiques, 2015. http://www.theses.fr/2015IEPP0007/document.

Anastasio, Edoardo <1996&gt. "The relationship between financial risk management and shareholders value." Master's Degree Thesis, Università Ca' Foscari Venezia, 2022. http://hdl.handle.net/10579/20812.

Kwok, Ying-kit Tony. "A study on treasury risk control in financial institutions in Hong Kong /." Hong Kong : University of Hong Kong, 1995. http://sunzi.lib.hku.hk/hkuto/record.jsp?B14038912.

Siu, Kin-bong Bonny. "Expected shortfall and value-at-risk under a model with market risk and credit risk." Click to view the E-thesis via HKUTO, 2006. http://sunzi.lib.hku.hk/hkuto/record/B37727473.

Ye, Kang. "Knowledge level modeling for systemic risk management in financial institutions /." access full-text access abstract and table of contents, 2009. http://libweb.cityu.edu.hk/cgi-bin/ezdb/thesis.pl?phd-is-b30082274f.pdf.

Neis, Eric. "Three essays in financial economics." Diss., Restricted to subscribing institutions, 2006. http://proquest.umi.com/pqdweb?did=1158520261&sid=1&Fmt=2&clientId=1564&RQT=309&VName=PQD.

Weiss, Susan F. "Implications of Executive Succession Upon Financial Risk and Performance." ScholarWorks, 2011. https://scholarworks.waldenu.edu/dissertations/958.

Wang, Letian. "Global supply chain risk management through operational and financial hedges." Thesis, McGill University, 2010. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=95041.

Seidel, Henry [Verfasser], and Alexander [Akademischer Betreuer] Szimayer. "Essays in Financial Risk Management / Henry Seidel ; Betreuer: Alexander Szimayer." Hamburg : Staats- und Universitätsbibliothek Hamburg, 2017. http://d-nb.info/1148650563/34.

Reddy, Harry 1963. "Financial supply chain dynamics : operational risk management and RFID technologies." Thesis, Massachusetts Institute of Technology, 2005. http://hdl.handle.net/1721.1/33729.

Zhu, Yanhui. "Nature and management of financial risk in global stock markets." Thesis, Cardiff University, 2008. http://orca.cf.ac.uk/55720/.

Yousefi, Sepehr. "Credit Risk Management in Absence of Financial and Market Data." Thesis, KTH, Matematisk statistik, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-188800.

Seidel, Henry Verfasser], and Alexander [Akademischer Betreuer] [Szimayer. "Essays in Financial Risk Management / Henry Seidel ; Betreuer: Alexander Szimayer." Hamburg : Staats- und Universitätsbibliothek Hamburg, 2017. http://d-nb.info/1148650563/34.

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This is a collection of some recent PhD theses from Business and Management. Please note that this is not a comprehensive list of all doctorate degrees from this School.

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  1. PDF The effect of financial management practices on the financial

    However, the influence that the financial management practices have on SME's financial performance has not been well established, as both positive and negative relationships have been obtained. The study sought to determine the effect of financial management practices on the financial performance of top 100 small and medium enterprises in Kenya.

  2. Exploring Financial Management Practices of Small and Medium-Sized

    Pattanayak, 2014). Effective financial management is one factor. The ability of some SME owners to execute effective financial management is insufficient (Karadag, 2015). Many small businesses struggle to survive because they operate without formal financial accounting practices (Chhabra & Pattanayak, 2014) or formal structures for management

  3. PDF Essays in Banking and Corporate Finance

    This dissertation studies the role of different types of frictions — financial and political - in preventing optimal resource allocation in the economy. In the first chapter I show that bank supervision reduces distortions in the credit market and generates positive spillovers for the real economy. Combining a novel administrative

  4. Strategies for Effective Financial Management in Vincentian Small

    with one major area being financial management (Nkosi, Bounds, & Goldman, 2013; Turyahebwa, Sunday, Burani, & Eliabu, 2013). The purpose of this qualitative multiple case study was to identify the strategies that small business owners in St. Vincent use for effective financial management. St. Vincent is the mainland of the 32 islands Caribbean

  5. PDF The Effectiveness of Financial Management in Schools in The ...

    Page | vi TABLE OF CONTENTS CHAPTER 1 1 1.1 INTRODUCTION 1 1.2 BACKGROUND OF THE STUDY 1 1.3 PROBLEM STATEMENT 2 1.3.1 Research questions 3 1.4 AIMS AND OBJECTIVES OF THE STUDY 4 1.5 PRELIMINARY LITERATURE REVIEW 4 1.6 DELIMITATION OF THE STUDY 6 1.7 LIMITATION OF THE STUDY 6 1.8 CONCEPT DEFINITIONS 6 1.8.1 Financial efficiency 6 1.8.2 Assets and liabilities 6

  6. Financial Management Issues of College-Aged Students: Influences and

    more likely to develop a love of money, often leading to unethical financial practices, selfishness, and greed (Elias, 2013; Fatoki, 2015). The evidence is inconclusive regarding levels of debt across various majors. Harrast (2004) found students in majors with "low vocational relevance such as political.

  7. Finance Graduate Theses and Dissertations

    Theses/Dissertations from 2018 PDF. Essays in Leveraged Capital Markets, Kenneth D. Ford. PDF. Essays in Networks of Finance and Experimental Finance: A Behavioral View, Weineng Xu. Theses/Dissertations from 2017 PDF. Performance Evaluation and Risk Management: Time Series Bootstrap Analysis of the Mutual Funds and Banking Sectors, Lifa Huang. PDF

  8. (PDF) Financial Management Practices: Theory and Application

    This study measures the impact of financial management practices on organization performance, application level and awareness of the financial analysts of the companies. Theory suggests that ...

  9. PDF MSc BA thesis, Financial Management

    Master study - The impact of board characteristics on financial performances for Dutch listed firms Enschede, The impact of board characteristics on firm's financial performance: Evidence from the Netherlands. MSc BA thesis, Financial Management 02 -07 2018 Ruben Rouwenhorst S1885596 [email protected] 06-31386724

  10. PDF Financial Management and Planning in Higher Education Institutions

    financial management. The result was that I undertook this research with the objective of examining whether there is a way in which higher education institutions might better approach financial management. The dissertation first reviews the way in which the Higher Education Funding

  11. (PDF) The Role of Financial Management

    Abstract. An organization's financial management plays a critical role in the financial success of a business. Therefore, an organization should consider financial management a key component of ...

  12. Finance Theses and Dissertations

    Theses/Dissertations from 2012. PDF. On The Efficiency of US Equity Markets, Mikael Carl Erik Bergbrant. PDF. Two Essays on the Sell-side Financial Analysts, Xi Liu. PDF. Two essays on Corporate Restructuring, Dung Anh Pham. PDF. Two Essays on Corporate Governance, Yuwei Wang.

  13. Financial Management Bachelor's Theses

    Theses/Dissertations from 2023. PDF. Financial literacy and financial well-being: A mediation analysis of fintech services adoption among selected generation Z in Metro Manila, Justine Marie M. Abad, Domique John T. Hernandez, Nehemih D. Pabillon, and Arianne Mae M. Teves. PDF.

  14. Theses and Dissertations (Financial Management)

    Board characteristics and the financial performance and risk management of companies listed on the Johannesburg Stock Exchange. Kok, Gerrit S. (University of Pretoria, 2020-09-16) The thesis investigated the relationship between multiple board characteristics and five performance and risk-management indicators.

  15. (PDF) Exploring Financial Management Practices and ...

    PDF | On Dec 28, 2018, Ilyani Azer and others published Exploring Financial Management Practices and Problems among Students | Find, read and cite all the research you need on ResearchGate

  16. PDF Financial Management Decision-making Processes in Public Primary Schools

    This dissertation is dedicated to God, the Almighty Father, giver of wisdom and understanding. I want to express my appreciation and thank you for giving me the ... in financial management decision-making in schools. KEY WORDS Decentralisation, decision-making, financial management, school governing bodies,

  17. PDF The Role of Financial Management in the Decision-making of Business

    1. Detect the role was played by financial management in commercial companies. 2. Become acquainted with the financial management decisions and the extent responsibility of the Board of Directors for these decisions. 3. Participation of financial management in the position of investment decisions in companies. 4.

  18. (PDF) School financial management: Insights for decision making in

    The participation of local stakeholders, such as school management, financial committees and parent groups, improves the system of school-based leadership for appropriate decision-making in the ...

  19. Dissertations / Theses: 'Financial risk management'

    Consult the top 50 dissertations / theses for your research on the topic 'Financial risk management.'. Next to every source in the list of references, there is an 'Add to bibliography' button. Press on it, and we will generate automatically the bibliographic reference to the chosen work in the citation style you need: APA, MLA, Harvard, Chicago ...

  20. (PDF) Financial MANAGEMENT

    Discipline is founded on consistency and a thorough understanding of the psychology of the markets in tandem with an understanding of self. A trader has achieved discipline in trading when that ...

  21. Business and Management thesis and dissertation collection

    Palas, Md Jahir Uddin (The University of Edinburgh, 2023-11-28) This thesis includes three empirical studies that investigate the causal impact of government assistance, capital regulation, and COVID-19 on banks. While the first two essays are based on the US banking sector, the third ...

  22. (PDF) Financial Management Practices and Profitability of Business

    The findings revealed that all financial re-engineering proxies had a significant effect on financial performance (Adj. R2= 0.535, F(5,379) = 87.901, p < 0.05).The study concluded that the study ...