Special Issue on Banking and Finance
Banking and Finance studies the management of money,
financial institutions, and markets that facilitate the flow of capital in an
economy. It examines banking operations, financial instruments, investment
strategies, risk management, and regulatory frameworks. The field also explores
how individuals, businesses, and governments raise, allocate, and manage funds,
aiming to ensure financial stability, efficient resource allocation, and
sustainable economic growth.
In this special issue, we intend to invite
front-line researchers and authors to submit original research and review
articles on Banking and Finance. Potential topics include,
but are not limited to:
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Banking and
financial services
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Commercial banking
-
Investment banking
-
Monetary
economics
-
Money and
banking
-
Monetary policy
and central banking
-
Microeconomics
of banking
-
Financial
econometrics and banking
-
Behavioral
finance
-
Financial
economics
-
Fintech and
digital banking
-
Banking &
capital markets
-
Asset management
and investment analysis
-
Financial
markets & institutions
-
International
finance and banking
-
Corporate
finance
-
Banking systems
-
Banking and economic
growth
-
Financial
innovations in banking
-
Financial regulation
and compliance
-
Credit and debt management
-
Portfolio
management
-
Risk management and
financial engineering
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 – Banking and Finance” should be
chosen during your submission.
According to the following timetable:
|
Submission Deadline
|
July 6th, 2026
|
|
Publication Date
|
September 2026
|
For
publishing inquiries, please feel free to contact the Editorial Assistant at [email protected]
ME Editorial
Office