1. Home
  2. masters in finance programs in new york

Tag: masters in finance programs in new york

Regulatory technology (RegTech) adoption in compliance – Complete Phd and Masters Thesis

Regulatory technology (RegTech) adoption in compliance – Complete Phd and Masters Thesis

[ad_1] Introduction Regulatory technology, commonly known as RegTech, has emerged as a powerful tool in ensuring compliance within various industries. With the increasing regulatory requirements and the need for businesses to keep up with the…

Read More
Overconfidence bias in corporate investment decisions – Complete Phd and Masters Thesis

Overconfidence bias in corporate investment decisions – Complete Phd and Masters Thesis

[ad_1] Introduction In the corporate world, investment decisions play a crucial role in determining the success or failure of a company. These decisions are often made by top executives who may be prone to cognitive…

Read More
Smart beta ETF performance analysis – Complete Phd and Masters Thesis

Smart beta ETF performance analysis – Complete Phd and Masters Thesis

[ad_1] Introduction Smart beta exchange-traded funds (ETFs) have gained significant popularity in recent years due to their ability to provide exposure to specific factors or investment strategies while maintaining the benefits of traditional ETFs such…

Read More
Risk budgeting approaches in portfolio management – Complete Phd and Masters Thesis

Risk budgeting approaches in portfolio management – Complete Phd and Masters Thesis

[ad_1] Title: Risk Budgeting Approaches in Portfolio Management Chapter 1: Introduction 1.1 Introduction 1.2 Background of Study 1.3 Problem Statement 1.4 Objective of Study 1.5 Limitation of Study 1.6 Scope of Study 1.7 Significance of…

Read More
Tactical asset allocation models – Complete Phd and Masters Thesis

Tactical asset allocation models – Complete Phd and Masters Thesis

[ad_1] Introduction Tactical asset allocation (TAA) models are a crucial component of modern investment strategies, allowing investors to dynamically adjust their portfolios in response to changing market conditions. These models utilize a combination of quantitative…

Read More
Big data analytics in credit risk management – Complete Phd and Masters Thesis

Big data analytics in credit risk management – Complete Phd and Masters Thesis

[ad_1] Introduction In recent years, the financial industry has witnessed a rapid growth in the volume of data being generated and collected. This has led to the emergence of big data analytics as a powerful…

Read More
Neurofinance applications in investment decision-making – Complete Phd and Masters Thesis

Neurofinance applications in investment decision-making – Complete Phd and Masters Thesis

[ad_1] Introduction Neurofinance is a relatively new field that combines insights from neuroscience and finance to understand how individuals make financial decisions. With the growing complexity of financial markets and the increasing availability of neuroimaging…

Read More
Low-interest-rate environment impact on life insurers – Complete Phd and Masters Thesis

Low-interest-rate environment impact on life insurers – Complete Phd and Masters Thesis

[ad_1] Introduction The low-interest-rate environment has been a significant concern for life insurers in recent years. Low interest rates have a direct impact on the profitability and financial stability of life insurance companies, as they…

Read More
Corporate governance and innovation output – Complete Phd and Masters Thesis

Corporate governance and innovation output – Complete Phd and Masters Thesis

[ad_1] Introduction Corporate governance plays a crucial role in shaping the innovation output of organizations. It encompasses the systems, processes, and structures through which companies are directed and controlled. Effective corporate governance practices are essential…

Read More
Systemic risk measurement in financial networks – Complete Phd and Masters Thesis

Systemic risk measurement in financial networks – Complete Phd and Masters Thesis

[ad_1] Introduction The measurement of systemic risk in financial networks has become increasingly important in the field of finance and economics. With the interconnectedness of financial institutions and markets, the failure of one institution can…

Read More
Translate »