《歐洲金融雜志》發(fā)表了一系列關(guān)于金融理論和實(shí)證的研究。重點(diǎn)是反映歐洲利益和關(guān)切的問題。這本雜志的目標(biāo)是出版受金融理論或?qū)嵺`中重大問題激勵(lì)的作品。《華爾街日?qǐng)?bào)》通過提供一種工具來促進(jìn)金融學(xué)者和從業(yè)人員之間的交流,以出版有關(guān)歐洲問題的研究,促進(jìn)歐洲金融研究,鼓勵(lì)國際交流思想、理論和方法論的實(shí)際應(yīng)用,并在發(fā)展中發(fā)揮積極作用。在整個(gè)歐洲建立金融研究、教學(xué)和實(shí)踐基礎(chǔ)設(shè)施。
The European Journal of Finance publishes a full range of research into theoretical and empirical topics in finance. The emphasis is on issues that reflect European interests and concerns. The journal aims to publish work that is motivated by significant issues in the theory or practice of finance.The journal promotes communication between finance academics and practitioners by providing a vehicle for the publication of research into European issues, stimulating research in finance within Europe, encouraging the international exchange of ideas, theories and the practical application of methodologies and playing a positive role in the development of the infrastructure for finance research, teaching and practice throughout Europe.
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