Writing a finance dissertation

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Writing a finance dissertation involves developing a thesis, choosing between theoretical and practical work, conducting research, analyzing data, and writing in the appropriate style. The thesis impacts the type of research and structure of the document, and the dissertation should be based on original research and add to the body of knowledge. The document should be written in the third person and avoid flowery or colloquial language, with an introduction, summary of other writings, research methodology, research summary and conclusion, and a length greater than 100 pages.

Writing a finance dissertation requires the doctoral candidate to first develop a thesis on a theoretical or practical aspect of the subject. With the thesis developed and the choice between theoretical and practical financial applications, the candidate conducts research appropriate to the thesis. Writing the document itself is the third step, which must be done in the particular style of the doctoral program, be grammatically correct and readable properly.

The first fundamental step in writing a finance dissertation is to choose between theoretical and practical work. A theoretical approach will be more academic in nature and numbers driven. The thesis of a practical finance dissertation can derive from real world activities in the financial arena by individuals, companies or governments and can focus on how the discipline of finance operates in real circumstances.

A thesis is the focal point of a dissertation that research will support or refute, and it has an impact on both the type of research and the structure of the document. For a more academic thesis, expect the research to be more statistical in nature. This theoretical financial dissertation may attempt to prove, disprove or expand mathematically derived financial theories. A practical finance dissertation might focus more on business or government case studies. The practical document can make extensive use of interviews, surveys and analysis of business data.

In either case, a finance dissertation should be based primarily on original research and add to the body of knowledge, not just restate or combine other people’s ideas and writings. After conducting the research, the candidate must analyze it and draw conclusions, and each conclusion must be supported by the research. The document will also include a full explanation of the research methodology and a summary of relevant work by others in the subject area.

With a thesis developed and accepted by the dissertation committee, research carried out and analysis completed, the doctoral candidate writes the dissertation. Before writing, it is important to master the tone, organizational style, and formatting style required by the particular university.

In general, dissertations should be written in the third person and avoid flowery or colloquial language. Typically, the dissertation should have an introduction that includes the thesis, followed by a summary of other writings, research methodology, research summary and conclusion and a length greater than 100 pages. Finally, although the dissertation should be in plain language, the better written and more readable the better.




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