HomeSearchFinancial Markets, Institutions and Risks

Financial Markets, Institutions and Risks

Academic Research and Publishing UG · Germany · Est. 2017

ISSN2521-1250eISSN2521-1242
DOAJOpen Access
15
/ 100
High Risk
Score Breakdown
DOAJ Verified+15
Total15
H-Index
21
Total Works
402
Total Citations
2,426
2yr Mean Citedness
3.55
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Aims & Scope

The Journal promotes the development of regional and world-wide cooperation between academics and professional financial communities, the international dissemination of theoretical and empirical research, as well as the best international and local practices of financial sector development, economic and legal transformations of financial and market infrastructure. The subjects of the Journal’s scope are banking, insurance, stock exchanges, financial services, finance and accounting, taxation, investment etc. Financial transformations are observed for companies, financial intermediaries, global societies, countries, regional and local communities, households. The Journal publishes the fundamental and applied research results, conceptual and empirical articles, analytical thematic studies and critical reviews. The journal is recommended for researchers, businessmen, enterprisers, librarians and members of academic communities. Main topics: The development of international, national and regional financial markets, financial aspects of capital market, stock market, money market, forex market, derivatives market, investment market, market efficiency, insurance market, labor market etc. Behavioral Finance; Financial services, the development of international financial infrastructure, management of state and municipal financial institutions; Financial innovations, Fintech; Sustainable development financing, green finance; Economic and financial analysis; Money and credit systems; Payment Systems; Banking; Insurance; Financial intermediation on financial instruments; Currency transactions, stock exchange; International Financial Organizations and Institutions; Household Finance; Corporate, municipal and public finance; Corporate and Public Governance; Accounting, reporting and auditing; Taxation; Investment activity, Real and financial investments; Financial law, legal aspects of markets and institutions activity; Risks and Risk Management; Financial Management.

General Information

Country / RegionGermany
Primary LanguageEnglish
1st Year Published2017
Frequencyquarterly
StatusActive (last: 2026)
Total Publications402
Publisher OrgARMG Publishing
OA Since2018
Visit Journal Website

Submission Info

APC Cost$200Below median
Peer ReviewDouble anonymous peer review
Review Time
Acceptance Rate
OA LicenseCC BY
OA Rate

Ethics & Quality

COPE Member✗ No
OASPA Member✗ No
Not on Predatory Lists✓ Yes
Plagiarism Detection✓ Yes

Think.Check.Submit Compliance

10/12 · 83%
Do you know the journal / publisher?
Academic Research and Publishing UG
Does the journal have a website?
✓ Linked
Is the ISSN verified?
2521-1250 / 2521-1242
Indexed in a trusted database?
DOAJ
Peer review process documented?
Double anonymous peer review
Follows ethical publishing standards (COPE)?
N/A
APC fees clearly disclosed?
$200
Not on predatory/blacklists?
✓ Clean
Long-term digital preservation?
N/A
Plagiarism detection in place?
Yes
Listed in DOAJ (verified OA)?
DOAJ verified
Primary language documented?
English

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, efficiencyEconomic Issues in UkraineIslamic Finance and Banking StudiesBusiness and Economic DevelopmentCorporate Finance and GovernanceFiscal Policy and Economic GrowthMarket Dynamics and VolatilityMicrofinance and Financial InclusionGlobal Financial Crisis and PoliciesMonetary Policy and Economic Impact
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Data updated: 2026-05-26 · Sources: SJR, DOAJ, OpenAlex, WoS, Crossref