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:
- Trends in Corporate Governance (Deadline: 31 August 2022)
- Macroeconomics, Market Power, and Industrial Policy (Deadline: 31 August 2022)
- Economic and Financial Implications of COVID-19 (Deadline: 1 September 2022)
- Corporate Governance, Accountability and Disclosure (Deadline: 20 September 2022)
- Monetary Policy, Inflation and Unemployment Dynamics: Theory and Empirics (Deadline: 30 September 2022)
- The Systematic Nature of COVID: A Journey towards a New Economic and Financial Paradigm (Deadline: 30 September 2022)
- Financial and Economic Literacy—Implications for Education (Deadline: 30 September 2022)
- Accounting, International Finance, and Economic Development with Applications (Deadline: 15 November 2022)
- Advances in Real Options (Deadline: 30 November 2022)
- Financial Development and Economic Growth (Deadline: 31 December 2022)
- Sustainable Economic Growth (Deadline: 31 December 2022)
- International Trade and Financial Management (Deadline: 31 December 2022)
- Firms’ Behavior, Productivity and Economics of Innovation (Deadline: 31 December 2022)
- Recent Developments in Time Series Analysis and Financial Econometrics (Deadline: 31 December 2022)
- Empirical Corporate Finance (Deadline: 31 December 2022)
- Corporate Finance, Governance, and Social Responsibility (Deadline: 31 January 2023)
- Modern Methods of Bankruptcy Prediction (Deadline: 28 February 2023)
- Contemporary Issues in Corporate Governance and Firm Performance (Deadline: 28 February 2023)
- Event Study in Finance and Economics (Deadline: 28 February 2023)
- Advances in Corporate Finance and Financial Management (Deadline: 31 March 2023)
- Advances in Macroeconomics and Monetary Policy (Deadline: 31 March 2023)
- Practically Relevant Quantitative Research in Accounting, Auditing, and Finance (Deadline: 31 March 2023)
- Global Trends and Challenges in Economics and Finance (Deadline: 1 April 2023)
- Exchange Rates, Inflation Expectations, and Oil Prices Under Geopolitical Uncertainty (Deadline: 30 June 2023)
- Functional Time Series with Applications in Finance and Insurance (Deadline: 15 July 2023)
Topical Collection
Following topical collection within this section is currently open for submissions: