Financial Studies
“Victor Slăvescu” Centre for Financial and Monetary Research · Romania
eISSN2066-6071
✓ DOAJ✓ Open Access
15
/ 100
High Risk
Score Breakdown
✓ DOAJ Verified+15
Total15
Aims & Scope✦ Inferred from recent articles
This journal publishes research on financial risk management, macroeconomic influences on financial markets, and the analysis of financial instruments and markets across various countries and sectors. Topics include credit risk, asset pricing bubbles, fiscal policy, loan sales, capital structure, green energy investments, foreign direct investment, government securities, and taxation.
AI-summarised from recent articles · verify on publisher page →
General Information
Country / RegionRomania
Primary LanguageEnglish
1st Year Published—
StatusActive
Total Publications—
Submission Info
Peer ReviewDouble anonymous peer review
Review Time—
Acceptance Rate—
OA LicenseCC BY-NC-ND
OA Rate—
Ethics & Quality
COPE Member✗ No
OASPA Member✗ No
Not on Predatory Lists✓ Yes
Think.Check.Submit Compliance
8/12 · 67%
✅
Do you know the journal / publisher?
✅
Does the journal have a website?
✅
Is the ISSN verified?
✅
Indexed in a trusted database?
✅
Peer review process documented?
❌
Follows ethical publishing standards (COPE)?
❌
APC fees clearly disclosed?
✅
Not on predatory/blacklists?
❌
Long-term digital preservation?
❌
Plagiarism detection in place?
✅
Listed in DOAJ (verified OA)?
✅
Primary language documented?
Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.
Subject Classification
Research Topics (OpenAlex)
Banking stability, regulation, efficiencyGlobal Financial Crisis and PoliciesMarket Dynamics and VolatilityCredit Risk and Financial RegulationsFiscal Policies and Political EconomyRegional resilience and developmentEconomic Analysis and PolicyMonetary Policy and Economic ImpactCorporate Finance and GovernanceBuilding Energy and Comfort Optimization
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See all →Data updated: 2026-05-26 · Sources: SJR, DOAJ, OpenAlex, WoS, Crossref