The International Review of Financial Analysis is a leading peer-reviewed journal that offers insightful research on financial markets, corporate finance, and investment strategies. Providing a platform for both theoretical and empirical studies, the journal aims to advance our understanding of financial decision-making and market dynamics. It is an essential resource for academics, finance professionals, and policymakers seeking cutting-edge research in the field.
Core topics covered include asset pricing, portfolio management, risk management, and financial econometrics. The journal welcomes original research articles, reviews, and special issues that address contemporary issues in finance. Indexed in prominent databases like Scopus and Web of Science, the International Review of Financial Analysis ensures wide visibility for published research.
Elevate your research and contribute to shaping financial theory and practice. Submit your work to a journal recognized for its rigorous standards and commitment to publishing impactful research. Help drive innovation and understanding in the complex world of finance.