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What are the thesis topics of management economics course?
The thesis topics of management economics course are as follows:

1. Quality analysis of foreign capital utilization in China.

2. Analysis of agricultural subsidy effect in China.

3. Analysis of the contribution of fiscal policy to China's economic growth.

4. Analysis of the effect of monetary policy on China's economic growth.

5. Analysis of the relationship between foreign exchange market and China's export.

6. China real estate market development analysis.

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The topic selection of financial papers needs to be considered and screened in combination with practical problems, interdisciplinary subjects and academic frontiers.

1, choose a topic from practical problems.

Pay attention to the hot issues in the financial field, understand the financial needs of the current society, and find research topics from practical problems. Consider whether the topic has practical significance and can provide theoretical support and practical guidance for the development of the financial industry. Understand the background and purpose of the topic, and ensure that the research problem has practical application value.

2. Choose topics from interdisciplinary subjects.

As an applied economics discipline, finance is closely related to accounting, management and mathematics. We can consider looking for the intersection related to finance from other disciplines and mining research topics from it. Through interdisciplinary research, we can expand the research ideas and methods and bring new breakthroughs to financial research.

3. Choose a theme from the academic frontier.

Pay attention to the academic frontier trends in the financial field and understand the latest research results and trends. Consider whether the topic is innovative and forward-looking, and whether it can provide new theoretical support and practical guidance for the development of financial field. Understand the academic background and research status of the subject, and ensure that the research problem has academic value.

Problems needing attention in financial papers

1, data source and accuracy

Make sure to use reliable data sources and carefully screen and process the data. Use the data released by official or authoritative organizations as much as possible to ensure the accuracy and credibility of the data. Analyze and interpret data reasonably to avoid data misuse or misunderstanding.

2. Literature citation and standardization

Cite relevant documents and materials correctly to ensure accurate information sources. Follow academic norms, use quotations and references rationally, and avoid academic misconduct. Pay attention to the timeliness and authority of documents, and avoid using outdated or unreliable materials.

3. Research methods and scientificity.

Select appropriate research methods to ensure the scientific and repeatable research. Reasonably improve and innovate research methods to promote the progress of financial research. Avoid using research methods that are too complicated or difficult to understand, so as not to affect the readability and understandability of the paper.