نویسنده موضوع: معرفی موضوع هایی برای پایان نامه در رشته های حسابداری و  (دفعات بازدید: 4045 بار)

آفلاین mmohammadi

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  • سپاسگزاری ها
  • -تشکر کرده: 88
  • -تشکر شده: 231
  • ارسال: 604
  • امتیاز های کاربر: 273
    • تساوی
  • دانشگاه: تهران
  • مقطع تحصیلی: دکتری
موضوع هایی که در طی چند سال اخیر در خارج از ایران در زمینه مالی و حسابداری کار شده را برای شما معرفی می کنیم:

 این  پایان نامه ها به زبان انگلیسی و بیشتر مربوط به سالهای 2012 و 2011 است



Lean Accounting: Measuring Target Costs
FACTORS THAT INFLUENCE ACCOUNTANTS’ SELECTION OF
DELIVERY MODALITIES FOR PROFESSIONAL DEVELOPMENT
Pricing Skewness and Kurtosis Risk
on the Swedish Stock Market
Exchange rate hedging of equity
Portfolios
Determinants of the Private Savings Rate
-A Study of the Swedish Case
Portfolio Selection with Risky Labor Income
The Swedish Premium Pension
The Link Between Chief Executive Officers’
Cash Bonuses and Return On Equity
Correlation changes between commodities and equities during extreme conditions:
Has the gain from diversification played out its role?
The Perfect Portfolio
Comparing Return-Risk and Direct Utility Maximization
Portfolio Optimization Methods by ‘Certainty Equivalence Curves’
Mean-Earnings-Variance Based Portfolio Selection
Testing the capm in the Indian
Market
Portfolio Strategies based on Fundamental Weighting
Expectations abound: family obligations and remittance flow amongst Cameroonian “bushfallers” in Sweden. A gender insight
The relationship between Urban Forestry and Poverty Alleviation
Mandatory Adoption of IFRS: It´s Effect on Accounting Quality, Information Environment and Cost of Equity Capital
The value relevance of comprehensive income
Cash Management
Improving the Liquidity for Jonsons Byggnads AB With Cash Management
Stock splits in confliction with the
economic irrelevance of shares
outstanding
A liquidity study on the Nasdaq OMX
Stockholm exchange
CPPI Structures on Funds Derivatives
Why Buy a Structured Product from a Bank?
A dynamic approach to Value Investing using Modern Portfolio Theory
Active Portfolio Management in the
German Stock Market
Day-of-the-week effects in
stock market data
The Relationship between Liquidity Risk and Performance: An Empirical Study of Banks in Europe 2005-2010
A Heuristic Downside Risk Approach to Real Estate Portfolio Structuring
A Heuristic Downside Risk Approach to Real Estate Portfolio Structuring
Gold During Recessions
Heteroskedasticity in Stock Return Data: Volume and Number of
Trades
versus GARCH Effects
VALUE AT RISK (VaR) METHOD: AN APPLICATION FOR
SWEDISH NATIONAL PENSION FUNDS (AP1, AP2, AP3)
BY USING PARAMETRIC MODEL
Portfolio optimisation
- improved risk-adjusted return?
Hedge Fund Style Allocation
– A Risk Adjusted Fund of Hedge Funds
Perspective

Department of Real Estate and Construction Management Thesis no.114
Name of program: Real Estate Management
The value relevance of comprehensive income
THE ATTRACTION OF FOREIGN GOVERNMENT BONDS FROM THE
PERSPECTIVE OF SWEDISH INVESTORS
Gold During Recessions A study about how gold can improve the performance of a portfolio during recessions

Where to Invest?
- Choosing the optimal stock market for investing in a cross-listed Nordic firm
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