1.Theimpactofmacroeconomicfactorsonstockmarketreturns:Evidencefromemergingeconomies.2.Theroleofcorporategovernanceinenhancingfirmperformance:EvidencefrompubliclytradedcompaniesinChina.3.Assessingthere
1. The impact of macroeconomic factors on stock market returns: Evidence from emerging economies.
2. The role of corporate governance in enhancing firm performance: Evidence from publicly traded companies in China.
3. Assessing the relationship between foreign direct investment and economic growth in emerging economies.
4. An empirical study on the effectiveness of technical analysis in predicting stock price movements.
5. The impact of financial innovation on the risk and return of investment in the banking industry.
6. An analysis of the effects of government policies on the stock market: A comparative study of developed and developing countries.
7. Investigating the impact of environmental, social and governance factors on investment decision-making in the energy sector.
8. An empirical analysis of the relationship between dividend policy and stock returns: Evidence from emerging economies.
9. A study on the performance of socially responsible investment portfolios: Evidence from European markets.
10. The impact of exchange rate fluctuations on foreign investment: Evidence from the manufacturing sector.
11. Exploring the determinants of venture capital investment decisions: A cross-industry analysis.
12. An investigation of the relationship between oil prices and stock market returns: Evidence from the US and China.
13. The role of behavioural finance in investment decision-making: A comparative study of individual and institutional investors.
14. An empirical analysis of the relationship between corporate social responsibility and firm performance: Evidence from the pharmaceutical industry.
15. The impact of macroeconomic policies on financial markets: A case study of the European Central Bank.