Financial Markets

A section of Journal of Risk and Financial Management (ISSN 1911-8074).

Section Information

The Financial Markets section welcomes high quality original papers on theoretical and empirical issues related to financial markets, including portfolio optimization, asset management, asset pricing and trading, investment, market microstructure and their contributions to the stability and operation of securities markets and financial intermediation. Studies focusing on the contribution of optimal trading, market frictions and information to well-functioning financial markets are especially encouraged. The Financial Markets section is open to publishing new and challenging studies focusing on a variety of topics from information channels and pricing and trading mechanisms to reconciling finance and economic theory to the development of market practice and regulations.

Prof. Dr. Xuezhong (Tony) He
Section Editor-in-Chief

Keywords

  • Foreign Exchange Markets
  • Capital Markets
  • Stock Markets (Equity Market)
  • Bond Markets
  • Commodity Markets
  • Money Markets
  • Market Instruments
  • Derivatives Markets
  • Futures Markets (Option Market)
  • Real Estate Markets
  • Spot Market
  • Mutual Funds
  • Financial Intermediaries
  • Market Microstructure
  • Market Efficiency

Editorial Board

Special Issues

Following special issues within this section are currently open for submissions:

Papers Published

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