Call for papers

Call for papers

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The purpose of the scientific peer-reviewed open-access ?Journal Financial Markets, Institutions, and Risks is to publish original articles dealing with the international aspects of financial markets, institutions, and risks. Theoretical, conceptual and empirical papers providing meaningful insights into the subject areas will be considered. Our journal publishes original articles on basic and applied research, conceptual and empirical papers, conference papers, case studies, and critical reviews.

It is published quarterly. Following the open access policy, full texts of your papers will be available on our site in pdf. All papers also get their DOIs.

Important dates for paper submission

Issue 1 ? mid-February

Issue 2 ? mid-May

Issue 3 ? mid-August

Issue 4 ? mid-November

GUIDELINES FOR SUBMISSION

?3000-7000 words maximum length (not including Abstract and References);

  • Abstract consists of 200-250 words and 5-7 keywords;
  • APA style;
  • Research papers may have not been published before and not presently being considered for publication elsewhere;
  • ?Send submissions to??[email protected] or [email protected];

To be published in the journal applicants should use the following instructions.?https://armgpublishing.sumdu.edu.ua/journals/fmir/#instruction-for-authors


Financial Markets, Institutions, and Risks Journal of is published by ARMG Publishing, which is a structural subdivision of?Sumy State University?(SSU), Ukraine. SSU takes a leading position among Ukrainian HEIs. It is included in Global Research University Profiles (GRUP) by ShanghaiRanking (500+) and enters the TOP-100 of QS World University Rankings.

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