Aims & Scope
The journal promotes and expedites the dissemination of new research results.There is an exciting and large volume of research activity in the field worldwide.The goal of this journal is to provide a platform for academicians and scientists all over the world to share, promote, and discuss various new issues and developments in different areas of financial engineering and risk management.
All manuscripts must be prepared in English and are subject to a rigorous and fair peer-review process. Generally, accepted papers will appear online within 3 weeks followed by printed hard copy. The journal publishes original papers including but not limited to the following fields:
Financial Innovation in Complex Environment
Financial Risk Management and Regulation under Systematic Thinking
Financial Derivatives
Asset Pricing
Behavioral Finance
Corporate Finance
Computational Finance
Experimental Finance
Big Data Analysisand Internet Finance
Macroeconomics and Finance