Journal of Finance & Market Investment

About the Journal

The Journal of Finance & Market Investment is a peer-reviewed publication from ISRN Journals that is focused on the publication of high-quality research on the topic of finance, investment decisions, the capital market, and the analysis of risks. Manuscripts that aim to improve the understanding of the way the financial market works, the way investors operate, and the way businesses operate under conditions of uncertainty are welcomed. Research that covers the following aspects is included: portfolio management and asset allocation, the behavior of the capital market, valuation and asset pricing, the strategy of corporate finance, the evaluation of investment performance, behavioral finance, the efficiency of the financial market, financial risk management, and the impact of financial regulations. Manuscripts that have high methodological quality and transparency, whether they use econometric modeling, event studies, panel data analysis, or well-structured qualitative research based on financial theories, are highly valued. Research that is relevant to the field is encouraged, whether it involves the analysis of market signals, the analysis of the risks and rewards of investment, the analysis of the impact of financial regulations, or the analysis of investment strategies. Researchers who aim to find a credible platform where they can publish their research on the topic of finance, investment decisions, the capital market, portfolio management research, or risk analysis papers may use this publication as a platform where their research will be handled professionally.

Article Publication fee is $100.00

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