Editorial Policies

Focus and Scope

Main subjects covered by the journal include:

  • financial econometrics and its applications,
  • modeling and forecasting asset prices and returns,
  • portfolio management and trading
  • market microstructure
  • behavioral finance
  • financial stability, financial risk and financial crises
  • empirical studies in corporate finance
  • accounting, financial reporting, and financial regulations
  • linkages between financial institutions, financial markets and the real economy

 

Section Policies

Articles

Checked Open Submissions Checked Indexed Checked Peer Reviewed

Forthcoming articles in next issue - Vol. 1, No. 2 (2016): Fall Issue

Checked Open Submissions Checked Indexed Checked Peer Reviewed
 

Open Access Policy

This journal provides immediate open access to its content on the principle that making research freely available to the public supports a greater global exchange of knowledge.