Finance Special Issue
Selected high quality papers presented at the 2021 FEBS conference will be invited for submission to a special issue that will be published by the journal ‘Finance’ Cat. 2 CNRS.The papers must fall within the scope of Finance, that is to provide a forum for rigorous theoretical and empirical financial economics, financial management, corporate finance, quantitative finance, financial econometrics, mathematical finance, international finance, banking finance, behavioral finance, entrepreneurial finance. All the submissions will be subject to the standard Finance review process.
Finance Bulletin Special Issue
Selected high quality papers presented at the 2021 FEBS conference will be invited for submission to a special issue that will be published by the journal ‘Finance Bulletin’. This journal is promoted by the French Finance Association (AFFI) and publishing short papers in all areas of Finance (corporate finance, investments & market finance, banking and related fields). Articles are published as soon as they are accepted on an electronic platform. They are all immediately and freely available to the readers. All the submissions will be subject to the standard Finance Bulletin review process.
Essays on Financial Analytics book
In the book “Essays on Financial Analytics” edited in the Lecture Notes in Economics and Mathematical Systems Series of Springer, we expect high quality original research papers in financial analytics. It explores advances in banking regulation, the banking and financial system, financial engineering, and corporate finance in order to provide financial analytics that question financial stability and sustainability. It presents applications in economics, finance, management and engineering. The book is committed to stimulating scientific exchanges, ideas and experiences in the field of financial analytics in economics and management.
Indicative topics include: accounting and regulation, asset pricing and portfolio valuation, banking and financial services, capital structure, corporate finance, corporate governance, economic policies, energy finance, exchange rates, finance and accounting standards, financial markets and market microstructure, financial regulation and supervision, financial stability, financial engineering, innovation and fintech, insurance, mergers and acquisitions, microfinance and economic development, macroprudential policy, monetary policy and central banking, and risk management.
Deadline: Authors should submit a cover letter and a manuscript by July 15, 2021 via