You are on page 1of 18

1.

List of variables in Finance


2. Budget Balance as % of GDP
3. Budget Expenses
4. Budget Revenues
5. Capital
6. Capital Investment
7. Change in Real Wages
8. Composite Risk Rating
9. Currency Change
10. Current Account
11. Current Account as % of GDP
12. Current Account as % of XGS
13. Current Account Forecast
14. Debt Service as % of XGS
15. Debt Service Ratio
16. Direct Investment Risk
17. Domestic Economic Problems
18. Economic Risk Rating
19. Equity Restrictions
20. Exchange Controls
21. Exchange Rate
22. Exchange Rate (Local)
23. Exchange Rate Stability
24. Exchange System
25. Export Market Risk
26. Exports
27. Financial Risk Rating
28. Financial Transfer Risk
29. Fiscal/Monetary Expansion
30. Foreign Debt
31. Foreign Debt as % GDP
32. Foreign Direct Investment
33. Forex Reserves
34. GDP (Nominal)
35. Imports
36. Inflation
37. Inflation Forecast
38. Investment Profile
39. Investment Restrictions
40. Labor Costs
41. Money Supply
42. Principal Exports
43. Principal Imports
44. Real GDP Growth (%)
45. Real GDP Growth Forecast (%)
46. Real GDP Growth Rate
47. Risk for Budget Balance
48. Risk for Current Account as % of GDP
49. Risk for Current Account as % of XGS
50. Risk for Debt Service
51. Risk for Exchange Rate Stability
52. Risk for Foreign Debt
53. Risk for GDP Growth
54. Risk for Inflation
55. Risk for International Liquidity
56. Risk for Per Capita GDP
57. Taxation Discrimination
58. Terrorism
59. Total Foreign Debt
60. Turmoil Ratings and Forecasts
61. Personal finance
62. Financial position
63. Tax planning
64. Investment and accumulation goals
65. Corporate finance
66. Financial services
67. Public finance
68. Beginning cash balance
69. Cash collections
70. Behavioral finance
71. The Real Exchange Rate
72. Stock Price Synchronicity
73. Financial Leverage
74. Investment policy
75. Impact of taxation on firm’s dividend payout/ratio
76. Share price volatility
77. Determinants of P/E Ratio
78. corporate governance
79. earning management
80. firm value
81. managerial ownership
82. institutional ownership
83. mutual funds ownership
84. senior citizens' (clientele effects)
85. role of banks in dividend decision
86. investors' protection
87. independent directors
88. CEO duality
89. board structure
90. audit committee
91. corporate governance
92. corporate social responsibility
93. executive compensations
94. equity incentive schemes
95. block holders and individual ownership
96. group association of firm
97. group tunneling
98. institutional quality/legal protection of minority shareholders
99. capital gain tax
100. individual taxes
101. tax reforms
102. dividend taxes
103. legal restrictions
104. transaction costs of external financing
105. liquidity policy of the firm (cash holdings, A/R)
106. leverage/capital structure/debt maturity
107. investment/growth opportunities
108. debt covenants
109. earning management and earning smoothing
110. information contents
111. insiders trading laws
112. industry effects, industry influence
113. dividend repurchase
114. stock market liquidity
115. firms assets structure
116. financial distress
117. firm value
118. managerial ownership
119. institutional ownership
120. mutual funds ownership
121. senior citizens' (clientele effects)
122. role of banks in dividend decision
123. investors' protection
124. independent directors
125. CEO duality
126. board structure
127. audit committee
128. corporate governance
129. corporate social responsibility
130. executive compensations
131. equity incentive schemes
132. block holders and individual ownership
133. group association of firm
134. group tunnelling
135. institutional quality/legal protection of minority shareholders
136. capital gain tax
137. individual taxes
138. tax reforms
139. dividend taxes
140. legal restrictions
141. transaction costs of external financing
142. liquidity policy of the firm (cash holdings, A/R)
143. leverage/capital structure/debt maturity
144. investment/growth opportunities
145. debt covenants
146. earning management and earning smoothing
147. information contents
148. insiders trading laws
149. industry effects, industry influence
150. dividend repurchase
151. stock market liquidity
152. firms assets structure
153. financial distress
154. firm value
155. managerial ownership
156. institutional ownership
157. mutual funds ownership
158. senior citizens' (clientele effects)
159. role of banks in dividend decision
160. investors' protection
161. independent directors
162. CEO duality
163. board structure
164. audit committee
165. corporate governance
166. corporate social responsibility
167. executive compensations
168. equity incentive schemes
169. block holders and individual ownership
170. group association of firm
171. group tunneling
172. institutional quality/legal protection of minority shareholders
173. capital gain tax
174. individual taxes
175. tax reforms
176. dividend taxes
177. legal restrictions
178. transaction costs of external financing
179. liquidity policy of the firm (cash holdings, A/R)
180. leverage/capital structure/debt maturity
181. investment/growth opportunities
182. debt covenants
183. earning management and earning smoothing
184. information contents
185. insiders trading laws
186. industry effects, industry influence
187. dividend repurchase
188. stock market liquidity
189. firms assets structure
190. financial distress
191. Absorption Costing
192. Account
193. Account Payable
194. Account Receivable
195. Sale
196. Expense
197. Accrued Expense
198. Accrued Interest
199. Accumulated Depreciation
200. Adjusted Gross Income
201. Agency Fund
202. Amortization
203. Annuity
204. Appreciation
205. Assertion
206. Asset
207. Asset Turnover
208. At Par
209. Average Days’ Inventory On-Hand
210. Average-Cost Method
211. Bad Debt
212. Balance
213. Bank Reconciliation
214. Bank Statement
215. Base Market Value
216. Beginning Inventory
217. Bond
218. Bond Discount
219. Bond Indenture
220. Bondholder
221. Book Value
222. Break-Even Point
223. Break-Even Units
224. Budget
225. Call Price
226. Capital Expenditure
227. Capital Gain
228. Capital Projects Funds
229. Capital Stock
230. Capitalized Cost
231. Cash
232. Cash Dividend
233. Cash Ratio
234. Collateral
235. Commission
236. Common Stock
237. Compensate
238. Credit
239. Current Yield
240. Debit
241. Debt Security
242. Debt Retirement
243. Debt Instrument
244. Debt-to-Equity Ratio
245. Debt Service Fund
246. Deficit
247. Deflation
248. Demand Loan
249. Depreciation
250. Direct Material
251. Direct Labor Costs
252. Direct Overhead
253. Disbursement
254. Discount
255. Discount Rate
256. Discount Yield
257. Distribution Expense
258. Dividends
259. Dividends Payable
260. Dividends Yield
261. Earned Income
262. Earnings per Share (EPS)
263. Earnings Price Ratio
264. Effective Interest Rate
265. Effective Tax Rate
266. Retaining employ
267. Portfolio Analysis
268. Income fund
269. Cash management
270. Receivables management
271. Inventory management
272. Stock market analysis
273. Financial performance analysis
274. Cost analysis
275. Capital management
276. Financial ratio analysis
277. Credit management
278. Mergers and acquisition
279. Inventory control & management
280. Management of non-performing assets
281. Budgeting process
282. ICDS securities
283. Customer Expectation and Perception
284. Dematerialization
285. Ratio analysis
286. Foreign investment
287. Funds flow
288. Export and import finance
289. Inventory Management
290. Risk management
291. Credit risk management
292. Project financing
293. Privatization
294. Non performing loans of banks
295. Risk assessment
296. Short term financing
297. Enterprise risk management
298. Audit fee expense
299. Share price
300. capital structure
301. gross loan portfolio
302. microfinance
303. interest rate
304. value saving
305. micro finance institutions
306. micro-finance banks
307. currency crisis
308. banks crises
309. Islamic banking system
310. profitability of banks
311. domestic and foreign banks
312. Financial exclusion
313. financial policy
314. Financial mechanisms
315. financial policies
316. financial markets
317. financial resources
318. finance management
319. join-stock companies
320. online banking
321. financial performance of banks
322. credit scoring
323. financial performance of banks
324. Market interest rate
325. commercial bank profitability
326. economic growth
327. corporate dividend payout policy
328. free cash flow
329. profitability of firms
330. Insurance
331. Social security
332. Taxes
333. taxation systems
334. Federal taxes
335. budget system
336. financial integration
337. international currency operations
338. financial system
339. national debt
340. state budget
341. Budget Balance as % of GDP
342. Budget Expenses
343. Budget Revenue
344. Capital
345. Change in real wages
346. Capital Investment
347. Currency Change
348. Current Account
349. Current Account as % of GDP
350. Current Account as % of XGS
351. Debt Service as % of XGS
352. Debt Service Ratio
353. Democratic Accountability (K)
354. Direct Investment Risk
355. Domestic Economic Problems
356. Economic Risk Rating
357. Equity Restrictions
358. Exchange Controls
359. Exchange Rate
360. Exchange Rate (Local)
361. Exchange Rate Stability
362. Personal and corporate taxations
363. Marginal tax rates
364. Tests of agency theory
365. Firm dividend policy
366. Firm investment decisions
367. Firm growth opportunities
368. Underinvestment problems
369. Free cash flow hypothesis
370. Human capital hypothesis
371. Legal protection of investors
372. Country legal system
373. Judicial efficiency of a country
374. Bankruptcy costs
375. Managerial ownership
376. Institutional ownership
377. Family ownership
378. Dispersed and concentrated ownership
379. Corporate group association
380. Corporate governance
381. Board independence
382. Controlling shareholders
383. Board structure
384. Compensation structure
385. Dividend policy
386. Stock repurchase decision
387. Firm liquidity policies
388. Firm size
389. Growth opportunities
390. Product market competition
391. Derivative use
392. Hedging decisions
393. Merger decisions
394. Firm life cycle
395. Earning management
396. Corporate disclosure policies
397. Business cycle
398. Partial adjustment models
399. Country's culture
400. Economic policy uncertainty
401. Inflation
402. Investment timing
403. Market timing
404. Capital market development
405. Credit rating of a firm
406. Information asymmetry costs
407. Transaction costs of external finance
408. Bank vs market based economies
409. Control rights and cash flow rights
410. Institutional framework
411. State ownership
412. Equity mispricing
413. Overconfidence and optimism
414. Product market flexibility
415. Relevance of collateral
416. Credit rationing
417. Credit monitoring
418. Firm value
419. Managerial ownership
420. Institutional ownership
421. Mutual funds ownership
422. Senior citizens' (clientele effects)
423. Role of banks in dividend decision
424. Investors' protection
425. Independent directors
426. Board structure
427. Audit committee
428. Corporate governance
429. Corporate social responsibility
430. Executive compensations
431. Equity incentive schemes
432. Block holders and individual ownership
433. Group association of firm
434. Group tunneling
435. Institutional quality/legal protection of minority shareholders
436. Capital gain tax
437. Individual taxes
438. Tax reforms
439. Dividend taxes
440. Legal restrictions
441. Transaction costs of external financing
442. Liquidity policy of the firm
443. Leverage/capital structure/debt maturity
444. Investment/growth opportunities
445. Debt covenants
446. Earning management and earning smoothing
447. Information contents
448. Insiders trading laws
449. Industry effects, industry influence
450. Dividend repurchase
451. Stock market liquidity
452. Firm’s assets structure
453. Financial distress
454. Customer concentration risk
455. Market structure uncertainty
456. Risk disclosures
457. Voluntary disclosures
458. Intellectual capital disclosures
459. Financial reporting frequency
460. Corporate social responsibility disclosure
461. Foreign shocks
462. Agency costs
463. Management earnings forecasts
464. Stock splits
465. Trading continuity
466. Trading volume
467. Legal protection of
investors
468. Corporate governance
469. Management entrenchment
470. Political connections of owners and managers
471. Multiple large shareholders
472. Family ownership
473. Foreign exchange risk
474. Country risk
475. Unlevered beta
476. Corporate derivative use
477. Hedging decisions
478. Industry classification
479. Informed trading and noise trading
480. Corporate national and international diversifications
481. Inflation
482. Capital structure
483. Use of leverage
484. Compensation structure
485. Mangers incentive schemes
486. Managerial participation in director’s selection
487. Management succession
488. Voluntary disclosure
489. Financing choices (such as short-term loans, long-term loans, debt-vs-equity)
490. Ipo and seasoned equities
491. Working capital management
492. Dividend policy
493. Stock repurchase decision
494. Corporate honest
495. Corporate social responsibility
496. Firm investment policies Firm size
497. Growth opportunities
498. Innovation efficiency
499. Product market competition
500. Derivative use
501. Hedging decisions
502. Merger decisions
503. Firm life cycle
504. Earning management
505. Corporate disclosure policies
506. A study based on the effects of interest rate KIBOR on share price
507. A test of price earnings ratio to predict growth
508. A comparative study between micro-finance banks, micro-finance
institutions and rural support programs in creating self –employment in Pakistan
509. Banking and currency crises causality from banks crises to currency crises
510. Bankruptcy and corporate governance: the impact of board composition and
structure
511. Capital structure and financial performance: evidence form (any country)
512. Capital structure decision and expected inflation
513. Comparative study of gold and T-bill as a hedge against inflation in (any
country)
514. Comparative study of credit scoring methods between local and foreign
banks of Pakistan
515. Composition of board of directors and its impact on firm performance
516. Cash flow and capital spending relationship: evidence from automobile
sector
517. Difference between overall efficiency results of conventional and Islamic
banks
518. Determinants of financial development
519. Determinants of Corporate dividend payout policy
520. Determinant of dividend payout ratio: A study of Pakistani fertilizer sector
521. Determinants of P/E ratio
522. Determinants of inflation
523. Dividend policy and stock price volatility
524. Fundamental and stock return: study of Bombay stock exchange 100 index
525. Effects of economic growth and interest rate on banks profitability in (any
country)
526. Effects of Free Cash flow on profitability of firms
527. Effects of mergers and acquisition in banking sector of Pakistan
528. Factors affect on the dividend payout ratio sugar industry
529. Financial leverage and investment policy
530. Fundamental variables and stock return; evidence from sugar and allied
sector of Pakistan
531. Impact of CEO remuneration on the performance of FMCG
532. Impact of macroeconomic indicators on stock market performance: the case
study of the Bombay stock exchange 100 index
533. Impact of taxation on banks profitability
534. Impact of Privatizations on Non-Performing Loans of banks in Pakistan
535. Impact of privatization on telecom
536. Impact of privation of banks on profitability
537. Increase in stock prices due to increase in foreign investment in (any
country)
538. Is CAPM a valid predictor of stock prices of KSE?
539. Macroeconomic determinants of stock return study on (any) sector of (any
country)
540. Predicting stock price via dividend discount model a study over (any) sector
541. Performance evaluation of mutual fund in (any country)
542. Ramadan effect on Karachi stock market
543. Rate and size of T-bill determinants of LIBOR
544. Relationship between cash reserve ratio (CRR) and banks profitability
545. Relationship between free cash flows and investment in (any) sector of
(any) country
546. Relationship of stock market returns and rate of inflation
547. Relationship between CPI and bond price
548. Relationship between stock prices and exchange rate
549. Role of inflation and factors affecting the inflation in current scenario of
(any country)
550. Role of stock market in economy
551. Stock price and economic variables (interest rate, inflation and GDP)
552. Share price volatility explicated by fundamentals
553. Testing semi-strong form efficiency of EHM on KSE
554. The impact of inflation on bank deposit
555. Turnover as predictor of inflation
556. The effect of accounting key drivers on stock return
557. The impact of remittance on household consumption
558. Which is the most significant internal factor affecting bank profitability?
Size, capital loan or deposits
559. Foreign exchange practices & hedging tools used by software industry
560. A Comparative Analysis of Balanced Fund Scheme of Mutual Fund
561. An analytical study on the volatility of securities traded on BSE sensex
562. Analysis of Foreign Currency Funding Option
563. A study on the security analysis for selecting the appropriate security
through analyzing economy and industry
564. A study on demat and online trading in secondary market
565. Analytical study of Derivatives
566. A study on Impact of NPAâ„¢s On Profitability & Liquidity In Banking
Industry
567. Non performing assets
568. Perception on mutual funds in Bangalore
569. To establish and carry on business of banking in any part of India or outside
India.
570. Role of financial institutions in financing SSIS
571. Study on the role of financial institutions in providing housing loans to
middle income group in Bangalore city
572. Budgeting
573. A study of deposit mobilization with reference to nationalized banks
574. Indian capital market
575. A study on foreign exchange funding option
576. Currency correlation and variability as hedging tool an analytical study of
their relationship
577. Pre-banking development software analysis and operations credentials
578. Impact of inflation and GDP on stock market returns in India
579. Co-operative banks & their working capital
580. The Financial Performance Evaluation
581. Instrument
582. Volatility analysis of pharmaceutical scripâ„¢s
583. Demat: online trading & its safety
584. Fundamental & Financial Analysis Of Fund Management
585. Brand Loyalty of Cigarette Smokers in Bangalore
586. Study on the rule of financial institution in providing housing rule to middle
income groups
587. Trend Analysis of Pharmaceutical with reference to B.S.E (Bombay Stock
Exchange) During July-November 2005
588. Impact of electronic advertising on purchasing decision
589. A study of deposit mobilization with reference to Nationalised banks
590. Sensitivity analysis of stocks in information technology, cement and
automobile sectors
591. Current scenario of derivatives market in India
592. Developing and measuring the Developing and measuring the performance
of portfolio based on risk and return
593. An analytical study on Impact of FDI in Industrial Development in India
594. Creating of an application regarding wealth management
595. Analysis of investorâ„¢s perception about mid-cap investment and mid-cap
sector
596. A study on option strategies in derivative market
597. A Research On Strategies for retaining employees in call centers
598. Risk Management With Financial Derivatives
599. Portfolio Analysis Of Banking Sectors
600. Study of financial planning among IT professionals in Bangalore
601. Technical Analysis of BSE IT sector index and investorâ„¢s perspective
towards IT stocks
602. Crm and Foreign banks
603. Working capital and ratio analysis at Modern Collections pvt ltd.,
604. Budget and budgetary control system at KPCL
605. Financial analysis at BEML
606. Working capital management at Med Reich
607. A study on financial analysis of HDFC bank
608. HDFC standard life
609. Performance analysis of growth oriented income fund with special
reference to HSBC asset management India pvt ltd
610. A report on augmenting asset liability management practices at Canara
bank
611. Working capital management at 3m India limited, Bangalore
612. Working capital management a case study of the kerala electrical and
allied engineering co. limited, cochin
613. An analysis of NPA in commercial banks with special reference to
Dhanalakshmi bank limited
614. A comparative study on invest shield life of ICICI with other insurance
companies
615. A study on risks, opportunities and hedging process in commodities market
with reference to Reymount Commodities Pvt Ltd
616. A Study On The Analysis Of Risk And Return Towards Mutual Fund Schemes
In Forutne Advisory Services, Business Partner Of Reliance Money
617. Analysis of working capital management of Karnataka soaps & detergents
limited, Bangalore
618. Inventory control and its management at KS&DL
619. A Study On The Impact Of Labour Welfare Measures in Rubco Group
620. Lending loans and advances ,position of various advances problem faced by
SBM bank.
621. Financial assistance by KSFC to small and medium enterprises
622. An analysis of the performance of the golden harvest scheme (a study
conducted for Tanishq)
623. The title of the study is “loans and recoveries” at Bharat co¬operative
bank (Mumbai) limited.
624. Financial analysis of page apparels MFT pvt ltd, Bangalore
625. Mobilisation of funds in insurance industry with reference to HDFC standard
life.
626. Financial aspects and its operations with reference to Rhino Resins pvt. Ltd
627. A comparative study on the credit parameters used for lending housing
finance in HDFC with other major players in the industry
628. A report on estimation of working capital requirement (prepared on behalf
of Crux information system (p) ltd)
629. Evaluation of financial performance of Fairmate chemicals private limited
630. Investors prospective towards mutual fund scheme at Franklin Templeton
global funds
631. A study on credit management (a study conducted at Abu Dhabi commercial
bank)
632. Customer Satisfaction Towards J&K Bank With Special Refrence To Jamia
Qadeem Sopore Branch
633. Working capital management towards MSR motors pvt ltd
634. Budgeting and budgetary control – systems & procedures, a study made at
BEL- Bangalore
635. Financial analysis-a case study of Southern Power Equipment Company
Limited, Bangalore.
636. Cost analysis in wockhardt hospital
637. a study of working capital management in bank of India
638. Financial ratio analysis of Travancore cements ltd. (TCL), Kottayam
639. Financial analysis-a case study of Spec Ltd
640. Credit management” at Amanath co-operative bank
641. Welfare amenities to bank employees. (a study conducted at Canara bank,
H.O, Bangalore)
642. A study report of ratio analysis, at Balaji enterprises
643. A Study on Geojit Financial Services Ltd
644. A study on changing business profile of Karnataka state financial
corporation
645. A study on credit management of state bank of Travancore
646. Financial statement analysis for effective financial control a project study
conducted at Mysore Sales International Limited at hire-purchase division (MSIL)
647. Mergers and acquisition of banking industry with specific reference to Bank
of Madura Ltd
648. Performance of mutual funds under the global environment A case study
conducted in HDFC
649. Financial performance of Sudarshan Telecom
650. Investment options for investors in mutual funds for Kotak
651. Financial performance analysis of the Urban co-operative bank ltd. Jaipur
652. study on car funding conducted with reference to Apeejay finance
653. Inventory control & management at SSA(Sri Sri Ayurveda)
654. Study the growth of Vijaya bank & evaluate the financial performance of
Vijaya bank
655. The management of non performing assets in the Canara bankâ„¢s loan
portfolio
656. Working capital management of Blue star
657. Working Capital Management in SAI AGRO INDUSTRIES
658. Financial performance analysis of Hindustan lever limited
659. Budgeting process and control system at Hindustan aeronautics limited at
engine division
660. An organizational study of ICDS securities and working pattern of various
broking firms and comparative analysis of ICDS securities ltd. With other broking
firms
661. A Study on Customer Expectation and Perception with reference to Indian
Airlines
662. Study of ICICI Direct.com (online share trading) dematerialization in ICICI
capital ltd.
663. Working capital of KSRTC
664. Study of working capital management at Parisons Foods Pvt Limited
665. A study on ratio analysis of BEML
666. Working capital management at Bharath Electronics Ltd (BEL)
667. To know the sources of funds and applications of funds and to allocate the
available resources properly at Ing Vysya
668. Analysis of mergers and acquisitions among banks, with specific reference
to bank of Madura ltd., ICICI ltd. And ICICI bank ltd
669. Foreign investment decision in India and the effect of the hike in FDI ceiling
on the telecommunication sector
670. To the study the causes and movements of NPA’s in KSFC
671. A Study On Working Capital Management And Ratio Analysis Of
Mcdowellâ„¢s & Company Ltd
672. Kerala Roadways Ltd/Calicut
673. Financial performance of A. S. R. Associates
674. A study & analysis on working capital management at Karnataka power
corporation limited (kpcl)
675. Inventory management & its control at Karnataka Soap And Detergent Ltd
676. A study on Financial Statement Analysis at Jubliant Organosys Ltd
677. Bu Business Loans For Trade (BLT) portfolio at ING Vysya Bank Ltd.
678. A study on the financial performance of Shree Thyagaraja Co-Operative
Bank Limited
679. A study of personal segment advances” in State Bank Of Mysore
680. Funds flow management at K.S.F.C
681. Financial Performance and Evaluation of KS&DL
682. A study on ratio analysis” adopted by Druk Sherig Construction Company,
Bhutan
683. Ratio analysis of financial performance of Karnataka soaps & detergents
limited
684. The role of national bank ltd in export and import of Bangladeshâ„¢ or
national bank limited, Dhaka
685. A study Inventory Management at Bharath Earth Movers Limited
686. Need for financial statement analysis of a Computer Hardware Industry
687. An analysis of the financial statement of Corporation Bank
688. Financial statements, profit and loss account and the balance sheet of the
company Titan
689. A Study On The Financial Statement With Special Reference To Manjushree
Extrusions Limited, Bangalore
690. Working capital management of DSCL
691. A study on Kaypee Electronics & Associate Private Limited
692. A study on Midcaps and its impact on NIFTY Market
693. The study on working capital in S M Dyechem Limited
694. A study conducted for Lords Apparels Private Limited on working capital
management and ratio analysis
695. Financial planning and solutions with life insurance with carried out to ICICI
Life insurance company Ltd
696. Export and import finance, banking procedure and analysis of Vijaya
Bankâ„¢s performance
697. A study on customer portfolio for Mutual Funds (with special reference to
ICICI Bank Ltd)
698. A study on customer satisfaction towards Vaibhav Exports
699. A study conducted for HGS apparels private limited on working capital
management and ratio analysis
700. impact of market volatility on debt funds investment a study conducted at
Standard Chartered

You might also like