Financial Institutions and Markets

A special issue of Journal of Risk and Financial Management (ISSN 1911-8074). This special issue belongs to the section "Banking and Finance".

Deadline for manuscript submissions: closed (31 October 2019)

Special Issue Editors


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Guest Editor
Department of Economics and Finance, University of New Orleans, New Orleans, LA, USA
Interests: financial institutions and markets; emerging markets and financial development; international finance; applied economics; corporate finance; Islamic economics, banking and finance
Special Issues, Collections and Topics in MDPI journals

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Guest Editor
Department of Accounting, Finance, and Economics, California State University Dominguez Hills, Carson, CA, USA
Interests: financial institutions and markets; entrepreneurial finance; corporate finance; socially responsible investment; regulation

Special Issue Information

Dear Colleagues,

The research on Financial Institutions and Markets has become quite expansive over the past few decades. Because of this, we have created this Special Issue, which covers several new topics on Financial Institutions and Markets. New and relevant topics in this Special Issue include the psychological impact of investors on financial markets, cryptocurrencies, effects of international regulation, high frequency trading, and the financial news cycle.

Prof. Dr. M. Kabir Hassan
Prof. Dr. Jennifer Brodmann
Guest Editors

Manuscript Submission Information

Manuscripts should be submitted online at www.mdpi.com by registering and logging in to this website. Once you are registered, click here to go to the submission form. Manuscripts can be submitted until the deadline. All submissions that pass pre-check are peer-reviewed. Accepted papers will be published continuously in the journal (as soon as accepted) and will be listed together on the special issue website. Research articles, review articles as well as short communications are invited. For planned papers, a title and short abstract (about 100 words) can be sent to the Editorial Office for announcement on this website.

Submitted manuscripts should not have been published previously, nor be under consideration for publication elsewhere (except conference proceedings papers). All manuscripts are thoroughly refereed through a single-blind peer-review process. A guide for authors and other relevant information for submission of manuscripts is available on the Instructions for Authors page. Journal of Risk and Financial Management is an international peer-reviewed open access monthly journal published by MDPI.

Please visit the Instructions for Authors page before submitting a manuscript. The Article Processing Charge (APC) for publication in this open access journal is 1400 CHF (Swiss Francs). Submitted papers should be well formatted and use good English. Authors may use MDPI's English editing service prior to publication or during author revisions.

Keywords

  • Financial Institutions and Markets
  • Banking
  • Capital Markets
  • Regulation
  • Behavioral Finance

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Published Papers

There is no accepted submissions to this special issue at this moment.
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