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I need a well-argued, 2,500-word Master’s level essay that fits a London university’s British academic structure and grading expectations. The topic sits squarely in banking and finance, so please anchor your discussion in that field and weave in recognised, named theories or models—think along the lines of CAPM, Modigliani-Miller, Basel accords or similarly authoritative frameworks where they strengthen the analysis. The paper must: • Demonstrate critical engagement with recent literature (peer-reviewed journals preferred). • Reference every source in a consistent British-style system (Harvard is ideal). • Flow logically from introduction through methodology/analysis to conclusion, keeping language formal yet readable. • Arrive fully proof-read and plagiarism-checked no later than four days from project start. I will supply any additional guidelines the university has the moment we begin. I have shared a model essay which you take as reference in terms of the format. Add Graphs , tables , charts and numbers to and related incidents , references, citations and bibliographies
Project ID: 40376377
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