The Journal of Banking and Finance Management is a peer-reviewed, open access journal that publishes original research and review articles in the field of banking and finance. The journal covers a wide range of topics, including financial institutions and markets, corporate finance, investment and portfolio management, international finance, and behavioral finance. The journal welcomes submissions from researchers, practitioners, and policymakers who are working in the field of banking and finance.
The Journal of Banking and Finance Management aims to publish high-quality, rigorous research that advances the understanding of banking and finance. The journal publishes both theoretical and empirical research, with a particular focus on applied research that has the potential to inform policy and practice. The journal also encourages submissions of case studies, which provide a valuable insight into the practical applications of banking and finance research.
In addition to original research articles, the Journal of Banking and Finance Management also publishes review articles and book reviews. These articles provide a critical evaluation of recent developments in the field of banking and finance and offer a valuable resource for researchers, practitioners, and policymakers. The journal also publishes special issues on specific topics in banking and finance, which provide a forum for in-depth discussion and debate on current issues in the field.