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1.

Administrative Subdivisions
2. Agricultural Work Force
3. Area
4. Budget Balance as % of GDP
5. Budget Expenses ($bn)
6. Budget Revenues ($bn)
7. Bureaucracy Quality (L)
8. Capital
9. Capital Investment ($bn)
10. Change in Real Wages (%)
11. Civil Disorder
12. Civil War
13. Commentary on Elections
14. Composite Risk Rating
15. Constitution
16. Consumer Confidence
17. Contract Viability
18. Corruption (F)
19. Cross-border Conflict
20. Currency Change
21. Current Account ($bn)
22. Current Account as % of GDP
23. Current Account as % of XGS
24. Current Account Forecast
25. Debt Service as % of XGS
26. Debt Service Ratio
27. Democratic Accountability (K)
28. Direct Investment Risk
29. Domestic Economic Problems
30. Economic Risk Rating
31. Election after Next
32. Energy Consumption
33. Energy Consumption Per Head
34. Equity Restrictions
35. Ethnic Groups
36. Ethnic Tensions (J)
37. Exchange Controls
38. Exchange Rate
39. Exchange Rate (Local)
40. Exchange Rate Stability
41. Exchange System
42. Export Market Risk
43. Exports ($bn)
44. External Conflict (E)
45. Financial Risk Rating
46. Financial Transfer Risk
47. Fiscal/Monetary Expansion
48. Foreign Debt
49. Foreign Debt as % GDP
50. Foreign Direct Investment ($bn)
51. Foreign Pressures
52. Forex Reserves ($bn)
53. Freedom of the Press
54. GDP (Nominal, $bn)
55. Government Cohesion
56. Government in Economy
57. Government Officials & their Posts
58. Government Stability (A)
59. Head of Government
60. Head of State
61. Imports ($bn)
62. Industrial Work Force
63. Infant Deaths
64. Inflation (%)
65. Inflation Forecast
66. Int'l Liquidity (months import cover)
67. Internal Conflict (D)
68. International Economic Problems
69. Investment Profile (C)
70. Investment Restrictions
71. Labor Costs
72. Languages
73. Law & Order (I)
74. Legislative Strength
75. Legislature
76. Literacy
77. Local Operations Restrictions
78. Military in Politics (G)
79. Money Supply (M1, $bn)
80. Most Likely Regimes
81. Next Election
82. Non-tariff Trade Barriers
83. Official Country Name
84. Official Language
85. Payment Delays
86. Payment Delays
87. Per Capita GDP ($)
88. Per Capita GDP ($)
89. Political Actors
90. Political Risk Rating
91. Popular support
92. Population
93. Population Growth
94. Poverty
95. Principal Exports
96. Principal Imports
97. Real GDP Growth (%)
98. Real GDP Growth Forecast (%)
99. Real GDP Growth Rate
100. Religions
101. Religious Tensions (H)
102. Repatriation
103. Repatriation Restrictions
104. Risk for Budget Balance
105. Risk for Current Account as % of GDP
106. Risk for Current Account as % of XGS
107. Risk for Debt Service
108. Risk for Exchange Rate Stability
109. Risk for Foreign Debt
110. Risk for GDP Growth
111. Risk for Inflation
112. Risk for International Liquidity
113. Risk for Per Capita GDP
114. Service Work Force
115. Socioeconomic Conditions (B)
116. Tariff Barriers
117. Taxation Discrimination
118. Terrorism
119. Total Foreign Debt ($bn)
120. Trade Restrictions
121. Turmoil Ratings and Forecasts
122. Unemployment
123. Unemployment Rate (%)
124. Unions
125. Urban Growth
126. Urban Population
127. War
128. Youth

129. Absorption Costing


130. Account Payable
131. Account Receivable
132. Sale
133. Expense
134. Accrued Expense
135. Accrued Interest
136. Accumulated Depreciation
137. Adjusted Gross Income
138. Agency Fund
139. Amortization
140. Annuity
141. Appreciation
142. Assertion
143. Asset
144. Asset Turnover At Par
145. Average Days’ Inventory On-Hand
146. Average-Cost Method
147. Bad Debt
148. Balance
149. Bank Reconciliation
150. Bank Statement
151. Base Market Value
152. Beginning Inventory
153. Bond
154. Bond Discount
155. Bond Indenture
156. Bondholder
157. Book Value
158. Break-Even Point
159. Break-Even Units
160. Budget
161. Call Price
162. Capital Expenditure
163. Capital Gain
164. Capital Projects Funds
165. Capital Stock
166. Capitalized Cost
167. Cash
168. Cash Dividend
169. Cash Ratio
170. Collateral
171. Commission
172. Common Stock
173. Compensate
174. Credit
175. Current Yield
176. Debit
177. Debt Security
178. Debt Retirement
179. Debt Instrument
180. Debt-to-Equity Ratio
181. Debt Service Fund
182. Deficit
183. Deflation
184. Demand Loan
185. Depreciation
186. Direct Material
187. Direct Labor Costs
188. Direct Overhead
189. Disbursement
190. Discount
191. Discount Rate
192. Discount Yield
193. Distribution Expense
194. Dividends
195. Dividends Payable
196. Dividends Yield
197. Earned Income
198. Earnings per Share (EPS)
199. Earnings Price Ratio
200. Effective Interest Rate
201. Effective Tax Rate
202. Retaining employ
203. Portfolio Analysis
204. Income fund
205. Cash management
206. Receivables management
207. Inventory management
208. Stock market analysis
209. Financial performance analysis
210. Cost analysis
211. Capital management
212. Financial ratio analysis
213. Credit management
214. Mergers and acquisition
215. Inventory control & management
216. Management of non-performing assets
217. Budgeting process
218. ICDS securities
219. Customer Expectation and Perception
220. Dematerialization
221. Ratio analysis
222. Foreign investment
223. Funds flow
224. Export and import finance
225. Inventory Management
226. Risk management
227. Credit risk management
228. Project financing
229. Privatization
230. Non performing loans of banks
231. Risk assessment
232. Short term financing
233. Enterprise risk management
234. Audit fee expense
235. Share price
236. gross loan portfolio
237. microfinance
238. interest rate
239. value saving
240. micro finance institutions
241. micro-finance banks
242. currency crisis
243. banks crises
244. Islamic banking system
245. profitability of banks
246. domestic and foreign banks
247. Financial exclusion
248. financial policy
249. Financial mechanisms
250. financial policies
251. financial markets
252. financial resources
253. finance management
254. join-stock companies
255. online banking
256. financial performance of banks
257. credit scoring
258. financial performance of banks
259. Market interest rate
260. commercial bank profitability
261. economic growth
262. corporate dividend payout policy
263. free cash flow
264. profitability of firms
265. Insurance
266. Social security
267. Taxes
268. taxation systems
269. Federal taxes
270. budget system
271. financial integration
272. international currency operations
273. financial system
274. national debt
275. state budget
276. Debt Financing
277. Internal rate of return
278. Net present value
279. Debentures
280. Capital structure
281. Stock price
282. Credit risk rating
283. Financial Ratios
284. Dividend payout ratio
285. Mergers
286. Acquisitions
287. CAPM
288. Sales price
289. Debt equity
290. Stock Return
291. Mutual funds
292. Price earning ratio
293. ROI
294. CSR
295. CPI
296. Bond price
297. Market Capitalization
298. Fiscal policy
299. Monetary Policy
300. Liabilities
301. Stock Price Volatility
302. IPOs
303. Ijara financing
304. Money Markets
305. Capital Markets
306. Financial Management
307. International Financial Management
308. Financial markets and institutions
309. Direct Investment Risk
310. Domestic Economic Problems
311. Economic Risk Rating
312. Equity Restrictions
313. Exchange Controls
314. Exchange Rate
315. Exchange Rate (Local)
316. Exchange Rate Stability
317. Personal and corporate taxations
318. Marginal tax rates
319. Tests of agency theory
320. Firm dividend policy
321. Firm investment decisions
322. Firm growth opportunities
323. Underinvestment problems
324. Free cash flow hypothesis
325. Human capital hypothesis
326. Legal protection of investors
327. Country legal system
328. Judicial efficiency of a country
329. Bankruptcy costs
330. Managerial ownership
331. Institutional ownership
332. Family ownership
333. Dispersed and concentrated ownership
334. Corporate group association
335. Corporate governance
336. Board independence
337. Controlling shareholders
338. Board structure
339. Compensation structure
340. Dividend policy
341. Stock repurchase decision
342. Firm liquidity policies
343. Firm size
344. Growth opportunities
345. Product market competition
346. Derivative use
347. Hedging decisions
348. Merger decisions
349. Firm life cycle
350. Earning management
351. Corporate disclosure policies
352. Business cycle
353. Partial adjustment models
354. Country's culture
355. Economic policy uncertainty
356. Inflation
357. Investment timing
358. Market timing
359. Capital market development
360. Credit rating of a firm
361. Information asymmetry costs
362. Transaction costs of external finance
363. Bank vs market based economies
364. Control rights and cash flow rights
365. Institutional framework
366. State ownership
367. Equity mispricing
368. Overconfidence and optimism
369. Product market flexibility
370. Relevance of collateral
371. Credit rationing
372. Credit monitoring
373. Firm value
374. Managerial ownership
375. Institutional ownership
376. Mutual funds ownership
377. Senior citizens' (clientele effects)
378. Role of banks in dividend decision
379. Investors' protection
380. Independent directors
381. Board structure
382. Audit committee
383. Corporate governance
384. Corporate social responsibility
385. Executive compensations
386. Equity incentive schemes
387. Block holders and individual ownership
388. Group association of firm
389. Group tunneling
390. Institutional quality/legal protection of minority shareholders
391. Capital gain tax
392. Individual taxes
393. Tax reforms
394. Dividend taxes
395. Legal restrictions
396. Transaction costs of external financing
397. Liquidity policy of the firm
398. Leverage/capital structure/debt maturity
399. Investment/growth opportunities
400. Debt covenants
401. Earning management and earning smoothing
402. Information contents
403. Insiders trading laws
404. Industry effects, industry influence
405. Dividend repurchase
406. Stock market liquidity
407. Firm’s assets structure
408. Financial distress
409. Customer concentration risk
410. Market structure uncertainty
411. Risk disclosures
412. Voluntary disclosures
413. Intellectual capital disclosures
414. Financial reporting frequency
415. Corporate social responsibility disclosure
416. Foreign shocks
417. Agency costs
418. Management earnings forecasts
419. Stock splits
420. Trading continuity
421. Trading volume
422. Management entrenchment
423. Political connections of owners and managers
424. Multiple large shareholders
425. Family ownership
426. Foreign exchange risk
427. Country risk
428. Unlevered beta
429. Corporate derivative use
430. Hedging decisions
431. Industry classification
432. Informed trading and noise trading
433. Corporate national and international diversifications
434. Inflation
435. Capital structure
436. Use of leverage
437. Compensation structure
438. Mangers incentive schemes
439. Managerial participation in director’s selection
440. Management succession
441. Voluntary disclosure
442. Financing choices (such as short-term loans, long-term loans, debt-vs-equity)
443. Ipo and seasoned equities
444. Working capital management
445. Dividend policy
446. Stock repurchase decision
447. Corporate honest
448. Corporate social responsibility
449. Firm investment policies Firm size
450. Growth opportunities
451. Innovation efficiency
452. Product market competition
453. Derivative use
454. Hedging decisions
455. Merger decisions
456. Firm life cycle
457. Earning management
458. Administrative Subdivisions
459. Agricultural Work Force
460. Area
461. Budget Balance as % of GDP
462. Budget Expenses ($bn)
463. Budget Revenues ($bn)
464. Bureaucracy Quality (L)
465. Capital
466. Capital Investment ($bn)
467. Change in Real Wages (%)
468. Civil Disorder
469. Civil War
470. Commentary on Elections
471. Composite Risk Rating
472. Constitution
473. Consumer Confidence
474. Contract Viability
475. Corruption (F)
476. Cross-border Conflict
477. Currency Change
478. Current Account ($bn)
479. Current Account as % of GDP
480. Current Account as % of XGS
481. Current Account Forecast
482. Debt Service as % of XGS
483. Debt Service Ratio
484. Democratic Accountability (K)
485. Direct Investment Risk
486. Domestic Economic Problems
487. Economic Risk Rating
488. Election after Next
489. Energy Consumption
490. Energy Consumption Per Head
491. Equity Restrictions
492. Ethnic Groups
493. Ethnic Tensions (J)
494. Exchange Controls
495. Exchange Rate
496. Exchange Rate (Local)
497. Exchange Rate Stability
498. Exchange System
499. Export Market Risk
500. Exports ($bn)
501. External Conflict (E)
502. Financial Risk Rating
503. Financial Transfer Risk
504. Fiscal/Monetary Expansion
505. Foreign Debt
506. Foreign Debt as % GDP
507. Foreign Direct Investment ($bn)
508. Foreign Pressures
509. Forex Reserves ($bn)
510. Freedom of the Press
511. GDP (Nominal, $bn)
512. Government Cohesion
513. Government in Economy
514. Government Officials & their Posts
515. Government Stability (A)
516. Head of Government
517. Head of State
518. Imports ($bn)
519. Industrial Work Force
520. Infant Deaths
521. Inflation (%)
522. Inflation Forecast
523. Int'l Liquidity (months import cover)
524. Internal Conflict (D)
525. International Economic Problems
526. Investment Profile (C)
527. Investment Restrictions
528. Labor Costs
529. Languages
530. Law & Order (I)
531. Legislative Strength
532. Legislature
533. Literacy
534. Local Operations Restrictions
535. Military in Politics (G)
536. Money Supply (M1, $bn)
537. Most Likely Regimes
538. Next Election
539. Non-tariff Trade Barriers
540. Official Country Name
541. Official Language
542. Payment Delays
543. Payment Delays
544. Per Capita GDP ($)
545. Per Capita GDP ($)
546. Political Actors
547. Political Risk Rating
548. Popular support
549. Population
550. Population Growth
551. Poverty
552. Principal Exports
553. Principal Imports
554. Real GDP Growth (%)
555. Real GDP Growth Forecast (%)
556. Real GDP Growth Rate
557. Religions
558. Religious Tensions (H)
559. Repatriation
560. Repatriation Restrictions
561. Risk for Budget Balance
562. Risk for Current Account as % of GDP
563. Risk for Current Account as % of XGS
564. Risk for Debt Service
565. Risk for Exchange Rate Stability
566. Risk for Foreign Debt
567. Risk for GDP Growth
568. Risk for Inflation
569. Risk for International Liquidity
570. Risk for Per Capita GDP
571. Service Work Force
572. Socioeconomic Conditions (B)
573. Tariff Barriers
574. Taxation Discrimination
575. Terrorism
576. Total Foreign Debt ($bn)
577. Trade Restrictions
578. Turmoil Ratings and Forecasts
579. Unemployment
580. Unemployment Rate (%)
581. Unions
582. Urban Growth
583. Urban Population
584. War
585. Youth

586. Absorption Costing


587. Account Payable
588. Account Receivable
589. Sale
590. Expense
591. Accrued Expense
592. Accrued Interest
593. Accumulated Depreciation
594. Adjusted Gross Income
595. Agency Fund
596. Amortization
597. Annuity
598. Appreciation
599. Assertion
600. Asset
601. Asset Turnover At Par
602. Average Days’ Inventory On-Hand
603. Average-Cost Method
604. Bad Debt
605. Balance
606. Bank Reconciliation
607. Bank Statement
608. Base Market Value
609. Beginning Inventory
610. Bond
611. Bond Discount
612. Bond Indenture
613. Bondholder
614. Book Value
615. Break-Even Point
616. Break-Even Units
617. Budget
618. Call Price
619. Capital Expenditure
620. Capital Gain
621. Capital Projects Funds
622. Capital Stock
623. Capitalized Cost
624. Cash
625. Cash Dividend
626. Cash Ratio
627. Collateral
628. Commission
629. Common Stock
630. Compensate
631. Credit
632. Current Yield
633. Debit
634. Debt Security
635. Debt Retirement
636. Debt Instrument
637. Debt-to-Equity Ratio
638. Debt Service Fund
639. Deficit
640. Deflation
641. Demand Loan
642. Depreciation
643. Direct Material
644. Direct Labor Costs
645. Direct Overhead
646. Disbursement
647. Discount
648. Discount Rate
649. Discount Yield
650. Distribution Expense
651. Dividends
652. Dividends Payable
653. Dividends Yield
654. Earned Income
655. Earnings per Share (EPS)
656. Earnings Price Ratio
657. Effective Interest Rate
658. Effective Tax Rate
659. Retaining employ
660. Portfolio Analysis
661. Income fund
662. Cash management
663. Receivables management
664. Inventory management
665. Stock market analysis
666. Financial performance analysis
667. Cost analysis
668. Capital management
669. Financial ratio analysis
670. Credit management
671. Mergers and acquisition
672. Inventory control & management
673. Management of non-performing assets
674. Budgeting process
675. ICDS securities
676. Customer Expectation and Perception
677. Dematerialization
678. Ratio analysis
679. Foreign investment
680. Funds flow
681. Export and import finance
682. Inventory Management
683. Risk management
684. Credit risk management
685. Project financing
686. Privatization
687. Non performing loans of banks
688. Risk assessment
689. Short term financing
690. Enterprise risk management
691. Audit fee expense
692. Share price
693. gross loan portfolio
694. microfinance
695. interest rate
696. value saving
697. micro finance institutions
698. micro-finance banks
699. currency crisis
700. Mutual funds

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