Banking and Finance
A section of Journal of Risk and Financial Management (ISSN 1911-8074).
Section Information
The Banking and Finance section welcomes the submission of high-quality papers examining the governance, performance, and stability of banking institutions and financial firms, including their contributions to systemic risk in the markets in which they operate. Studies focusing on the contributions of regulation and supervision to well-functioning banking and financial markets are especially encouraged. The Banking and Finance section is open to publishing new and challenging studies focusing on a single country or a group of countries. Theoretical and empirical papers, as well as policy-oriented research papers, will be considered.
Dr. James R. Barth
Section Editor-in-Chief
Keywords
- Financial Institutions
- Banking (Efficiency, Crisis, Regulation, Risk Management, Solvency)
- Commercial Bank
- Central Bank
- Federal Reserve
- Islamic Banks
- Basel Accords
- Entrepreneurial Finance
- Accounting and Financial Reporting
- Venture Capital
- Capital Structure
- Credit Rating
- Financial Stability
Editorial Board
Special Issues
Following special issues within this section are currently open for submissions:
- Recent Development and Challenges in the Banking and Financial Sector: Toward a More Sustainable Financial System (Deadline: 30 November 2024)
- Accounting, Finance and Banking in Emerging Economies (Deadline: 30 November 2024)
- Credit Markets & Credit Risk Management (Deadline: 31 December 2024)
- Post SVB Banking Sector Outlook (Deadline: 31 December 2024)
- Earnings Management and Loan Contracts (Deadline: 31 December 2024)
- Advances in Accounting & Auditing Research (Deadline: 31 December 2024)
- Featured Papers in Climate Finance (Deadline: 1 June 2025)
- Financial Inclusion Strategies: Emerging Trends and Global Perspectives (Deadline: 31 July 2025)