About This Special Issue
This special issue of contemporary issues in Accounting, Finance and Risk management provides an opportunity to further advance discussions of the integration of all forms of critical issues in accounting, Finance and Risk management. We welcome original research contributions that provide meaningful insights into the subject areas. We feel privileged to invite scholars, practitioners and policymakers to send their and scholarly contributions to the journal. This is a peer-reviewed journal with the review procedure based on double-blind principle. The editorial board provides policy guidelines for publications in the journal. The core focus of the journal is on theoretical developments their implementation, empirical, and policy-oriented significant and new research all the major areas in finance and accounting. Its focus is on applied research and to bridge the gap between financial theories and practice. In this journal, we highly encouraged all papers from related field on any region or country.
Aims and Scope:
- Portfolio Theory
- Derivatives
- Risk Management
- Asset Pricing
- Accounting and Auditing
- Corporate Governance