Special Issue on Finance and Investment
Finance and Investment studies
how individuals, institutions and markets allocate and manage financial
resources to achieve returns and manage risk. It covers investment analysis,
asset valuation, portfolio management and financial markets. The field also
examines capital allocation, risk assessment and strategic decision-making,
aiming to optimize investment performance and support economic growth in both
corporate and personal finance contexts.
In this special issue, we intend to invite front-line
researchers and authors to submit original research and review articles on Finance and Investment. Potential topics include, but are not limited
to
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Corporate finance and governance
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Investment analysis and portfolio management
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Financial markets and institutions
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Behavioral finance
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Empirical finance
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Asset pricing and valuation
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Financial econometrics
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Quantitative finance and investment strategies
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Financial modeling and forecasting
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Equity and fixed income analysis
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Derivatives and financial engineering
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International finance and investment
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Alternative investments
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Public finance
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Risk management
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Capital markets
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Security investment analysis
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Investments in emerging market
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Financial planning and decisions
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Banking and financial institutions
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Sustainable and ESG Investing
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Financial technology
Authors should read over the journal’s For Authors carefully before submission. Prospective authors should submit an electronic
copy of their complete manuscript through the journal’s Paper Submission System.
Please kindly notice that the “Special Issue” under your manuscript
title is supposed to be specified and the research field “Special Issue – Finance and Investment” should be
chosen during your submission.
According to the
following timetable:
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Submission Deadline
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July 22nd, 2026
|
|
Publication Date
|
September 2026
|
For publishing
inquiries, please feel free to contact the Editorial Assistant at [email protected]
ME
Editorial Office