Applied Economics and Finance
A section of Journal of Risk and Financial Management (ISSN 1911-8074).
Section Information
This Section, "Applied Economics and Finance", is concerned with the broad topic of Applied Economics and Finance.
It includes any novel theoretical or empirical research associated with applied and practical applications of technical methods, especially econometrics, financial econometrics, and statistics.
Theoretical contributions should be associated with an empirical example, or directions in which the novel ideas might be applied.
The Section may be associated with any contributions in: theoretical and applied economics, finance, econometrics, financial econometrics, and statistics; quantitative finance; risk and financial management; time series analysis; forecasting; energy economics and finance.
Prof. Dr. Chia-Lin Chang
Prof. Dr. Norman R. Swanson
Section Editor-in-Chief
Keywords
- agricultural economics
- business economics
- demographic economics
- development economics
- econometrics
- economic systems
- education economics
- entrepreneurship
- finance and investments
- industrial organization
- international economics, finance, and trade
- labor economics
- macroeconomics and microeconomics
- oil and energy economics
- political economics
- public economics
- urban, rural, and regional economics
Editorial Board
Topical Advisory Panel
Special Issues
Following special issues within this section are currently open for submissions:
- Pension Fund Governance and Performance in the 21st Century (Deadline: 31 December 2024)
- Emerging Technology, Corporate Governance Disclosure and Corporate Social Responsibility (Deadline: 31 March 2025)
- Emerging Trends in Global Trade and Policy Dynamics (Deadline: 31 July 2025)
- Financial Reporting Quality and Capital Markets Efficiency (Deadline: 30 September 2025)
- Empirical Research on Non-financial Disclosure Practices (Deadline: 31 October 2025)