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Financial Markets, Institutions and Risks (FMIR) (ISSN: 2521-1250)

Publisher: Sumy State University

ISSN-L: 2521-1250

ISSN: 2521-1250

E-ISSN: 2521-1242

IF(Impact Factor) : 2017 Evaluation Pending



Financial Markets, Institutions, and Risks bridges the gap between the academic and professional finance communities. The purpose of the Journal of International Financial Markets, Institutions, and Risks is to publish original articles dealing with the international aspects of financial markets, institutions, and risks. Theoretical, conceptual and empirical papers providing meaningful insights into the subject areas will be considered.
Our journal publishes original articles of basic and applied research, conceptual and empirical papers, conference papers, case studies and critical reviews.
Main subjects:
International financial markets;
Foreign exchange markets;
International syndications;
Determination of exchange rates;
Information and speculation;
Forward rates and swaps;
International commercial banking;
International investment banking;
Central banks;
International monetary systems;
international finance institutions;
Benefits and risks of international trade.

Last modified: 2017-11-20 19:57:48