Journal of Finance, Investment and Risk Management

Journal of Finance, Investment and Risk Management publishes good quality research papers in the areas of accounting, finance, risk management, and their interfaces. Using a wide range of research methods including statistical analysis, analytical work, and case studies, articles examine good research questions from a broad range of perspectives. The Editor may also welcome contributions that use other empirical research methods. The topics related to this journal include but are not limited to:


  • Financial accounting and reporting
  • Auditing
  • Management accounting
  • Taxation
  • Corporate finance
  • Personal finance
  • Financial risk management
  • Enterprise risk management


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