Economics and Finance
A section of Journal of Risk and Financial Management (ISSN 1911-8074).
Section Information
The Economics and Finance section welcomes the submission of high-quality papers with a primarily empirical focus from various aspects of Economics and Finance, including corporate finance, asset pricing, and the use of high frequency data and finance microstructures, as well as their contributions to systemic risk in the markets in which they operate. The Economics and Finance section is open to publishing new and challenging studies focusing on a single country or a group of countries. Although the main focus of the section will be empirical, theoretical papers of high quality, as well as policy-oriented research papers, will be considered.
Keywords
- Macroeconomics
- Microeconomics
- Monetary Economics
- Economic Growth
- Development Economics
- Environmental Economics
- Asset Pricing
- General Equilibrium
- Rational Asset Pricing (Risk Neutral Pricing)
- Corporate Finance & Corporate Governance
- Financial Econometrics
- Uncertainty & Decision-making
- Behavioral and Experimental Finance
- High Frequency Data
- Finance Microstructures
Editorial Board
Topical Advisory Panel
Special Issues
Following special issues within this section are currently open for submissions:
- Open Economy Macroeconomics (Deadline: 31 October 2024)
- Contemporary Trends in International Finance: Navigating Global Dynamics (Deadline: 31 October 2024)
- Corporate Finance: Financial Management of the Firm (Deadline: 31 October 2024)
- Forecasting and Time Series Analysis (Deadline: 31 October 2024)
- International Finance and Monetary Economics: Theory and Empirical Analysis for Asia-Pacific (Deadline: 30 November 2024)
- Financial Risk Management and Quantitative Analysis (Deadline: 30 November 2024)
- Financial Econometrics and Quantitative Economic Analysis (Deadline: 30 November 2024)
- Advanced Studies in Empirical Asset Pricing (Deadline: 30 November 2024)
- Forecasting, Predictive Analytics and Econometrics in Business Research (Deadline: 27 December 2024)
- Financial Valuation and Econometrics (Deadline: 31 December 2024)
- Navigating Economic Volatility: Predictive Models and Risk Analysis of Business Cycles (Deadline: 31 December 2024)
- Global Perspectives on Student Loan Debt Issues and Risks (Deadline: 31 December 2024)
- Monetary Policy in a Globalized World (Deadline: 31 December 2024)
- Judgment and Decision-Making Research in Auditing (Deadline: 31 December 2024)
- Debt, Financial Stability, and the Macroeconomy (Deadline: 31 December 2024)
- Research on Economic Growth and Inequality (Deadline: 31 January 2025)
- Macroeconomic Policies and Economic Growth (Deadline: 28 February 2025)
- Macroeconomic Dynamics and Economic Growth (Deadline: 31 March 2025)
- AI and Sustainable Growth in Economics and Finance: Global Trends and Challenges (Deadline: 30 April 2025)
- Advances in Financial and Hospitality Management Accounting (Deadline: 30 April 2025)
- Emerging Trends in International Macroeconomics: Insights and Challenges (Deadline: 30 April 2025)
- Effective Governance and Financing Models for Public–Private Partnerships (Deadline: 30 April 2025)
- The Role of Digitization in Corporate Finance (Deadline: 31 May 2025)
- Recent Developments in Finance and Economic Growth (Deadline: 30 June 2025)