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Journal of Management Accounting Research

ISSN: 1049-2127eISSN: 1558-8033
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Journal of Monetary Economics

ISSN: 0304-3932eISSN: 1873-1295

The Journal of Monetary Economics publishes important research contributions to a wide range of modern macroeconomic topics including work along empirical, methodological and theoretical lines. In recent years, these topics have been: asset pricing; banking, credit and financial markets; behavioral macroeconomics; business cycle analysis; consumption, labor supply, and saving; dynamic equilibria (theory and computational methods); economic growth and development; expectation formation, information and aggregate economic activity; fiscal shocks and fiscal policies; expectation formation; forecasting, macroeconometrics, and time series analysis; information and aggregate economic activity; international trade, exchange rates, and open economy macroeconomics; labor markets ; macroeconomic data and history; monetary policy; monetary theory; money demand and money supply behavior; optimal contracting and economic activity; productivity measurement and theory; pricing in product markets and labor markets; and real investment (inventories, fixed, human capital). The Journal of Monetary Economics has eight regular issues per year, with the Carnegie-Rochester Conference Series on Public Policy as the January and July issues.Benefits to authorsWe also provide many author benefits, such as free PDFs, a liberal copyright policy, special discounts on Elsevier publications and much more. Please click here for more information on our author services.Please see our Guide for Authors for information on article submission. If you require any further information or help, please visit our support pages: http://support.elsevier.com

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Journal of Money and Business

ISSN: 2634-2596eISSN: 2634-260X

The Journal of Money & Business is an academic, open access, peer-reviewed journal focused on diffusion of articles on all aspects of money and business. Published by Emerald on behalf of King Khalid University.

Journal of Money, Credit and Banking

ISSN: 0022-2879eISSN: 1538-4616

Journal of Money, Credit, and Banking Edited by Paul Evans, The Ohio State University; Mark J. Flannery, University of Florida; and Kenneth D. West, University of Wisconsin Widely read and cited by researchers and policy makers, Journal of Money, Credit, and Banking is a primary economics journal reporting major findings in the study of monetary and fiscal policy, credit markets, money and banking, portfolio management, and related subjects. Founded in 1969.

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Journal of Multinational Financial Management

ISSN: 1042-444XeISSN: 1873-1309

International trade, financing and investments have grown at an extremely rapid pace in recent years, and the operations of corporations have become increasingly multinationalized. Corporate executives buying and selling goods and services, and making financing and investment decisions across national boundaries, have developed policies and procedures for managing cash flows denominated in foreign currencies. These policies and procedures, and the related managerial actions of executives, change as new relevant information becomes available.The purpose of the Journal of Multinational Financial Management is to publish rigorous, original articles dealing with the management of the multinational enterprise. Theoretical, conceptual, and empirical papers providing meaningful insights into the subject areas will be considered.The following topic areas, although not exhaustive, are representative of the coverage in this Journal.• Foreign exchange risk management• International capital budgeting• Forecasting exchange rates• Foreign direct investment• Hedging strategies• Cost of capital• Managing transaction exposure• Political risk assessment• International working capital management• International financial planning• International tax management• International diversification• Transfer pricing strategies• International liability management• International mergers.

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Journal of Operational Risk

ISSN: 1744-6740eISSN: 1755-2710
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Journal of Pension Economics & Finance

ISSN: 1474-7472eISSN: 1475-3022
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Journal of Portfolio Management

ISSN: 0095-4918

Journal of Private Equity

ISSN: 1096-5572

Journal of Property Investment & Finance

ISSN: 1463-578xeISSN: 1470-2002

JPIF is an international forum for the interchange of information and ideas relating to property valuation and investment, property management and decision making in all property markets.

Journal of Public Economic Theory

ISSN: 1097-3923eISSN: 1467-9779
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Journal of Public Economics

ISSN: 0047-2727eISSN: 1879-2316

The aim of the Journal of Public Economics is to encourage original scientific contributions on the problems of public economics, with particular emphasis on the application of modern economic theory and methods of quantitative analysis. It provides a forum for discussion of public policy of interest to an international readership.A master index encompassing volumes 1-50 is available from the publisher upon request.Benefits to authorsWe also provide many author benefits, such as free PDFs, a liberal copyright policy, special discounts on Elsevier publications and much more. Please click here for more information on our author services.Please see our Guide for Authors for information on article submission. If you require any further information or help, please visit our support pages: http://support.elsevier.com

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Journal of Real Estate Research

ISSN: 0896-5803eISSN: 2691-1175
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Journal of Revenue and Pricing Management

ISSN: 1476-6930eISSN: 1477-657X
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Journal of Risk

ISSN: 1465-1211eISSN: 1755-2842
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Journal of Risk Finance

ISSN: 1526-5943eISSN: 2331-2947

The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial risks and risk management.

Journal of Risk Model Validation

ISSN: 1753-9579eISSN: 1753-9587
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Journal of Risk and Financial Management

ISSN: 1911-8066eISSN: 1911-8074

The Journal of Risk and Financial Management (JRFM) was formerly edited by Prof. Dr. Raymond Cox and published by Prof. Dr. Alan Wong in print (ISSN 1911-8066 for print edition) and online (ISSN 1911-8074 for electronic edition) in one yearly volume from 2008 until end 2012. MDPI has taken over the publication of this title on 1 October 2013. Articles published prior to 1 October 2013 on www.jrfm.us have been transferred onto the MDPI platform and left unchanged. MDPI will continue to publish the online edition only.

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Journal of Risk and Insurance

ISSN: 0022-4367eISSN: 1539-6975

The Journal of Risk and Insurance is the flagship journal for the American Risk and Insurance Association. The JRI is the most well recognized academic risk management and insurance journal in the world and is currently indexed by the American Economic Association's Economic Literature Index, the Finance Literature Index, the Social Sciences Citation Index, ABI/Inform, Business and Company ASAP, Lexis-Nexis, Dow Jones Interactive, and others. All back issues, i.e., 1933-2001, are now available on JSTOR. The Journal of Risk and Insurance publishes rigorous, original research in insurance and risk management. This includes the following areas of specialization: 1. Industrial organization of insurance markets; 2. Management of risks in the private and public sectors; 3. Insurance finance, financial pricing, financial management; 4. Economics of employee benefits, pension plans, and social insurance; 5. Utility theory and demand for insurance; 6. Asymmetric information, moral hazard, and adverse selection; 7. Insurance regulation; 8. Econometric, actuarial, and statistical methodology; 9. Economics of insurance institutions; 10. Insurance cycles and economic cycles of insurance markets; Both theoretical and empirical submissions are encouraged. Empirical work must provide tests of hypotheses based on sound theoretical foundations.

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Journal of Risk and Uncertainty

ISSN: 0895-5646eISSN: 1573-0476

The Journal of Risk and Uncertainty features both theoretical and empirical papers that analyze risk-bearing behavior and decision-making under uncertainty. The journal serves as an outlet for important, relevant research in decision analysis, economics, and psychology. Among the topics covered in the journal are decision theory and the economics of uncertainty, psychological models of choice under uncertainty, risk and public policy, experimental investigations of behavior under uncertainty, and empirical studies of real-world, risk-taking behavior. Articles begin with an introductory discussion explaining the nature of the research and the interpretation and implications of the findings at a level that is accessible to researchers in other disciplines.Officially cited as: J Risk Uncertain

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