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- Finance, Banking and Insurance
- Finance and Accounting
- Management Accounting
- Analysis and risk management of banking institutions
- Asset-liability management
- Liquidity management
- Credit risk modelling
- Asset pricing
- Project finance
- Commodities modelling, pricing and risk management
- Financial derivatives
- Regulation, supervision and policy
- Exchange rates and exchange rate regimes
- Islamic banking and finance
- Monetary policy
- Bank diversification, universal banks and financial conglomerates
- Securitisation in banking
- Specialised lending
- Bank efficiency, productivity and performance measurement
- International banking
- International financial crisis and systemic risk
- Mergers and acquisitions in banking
- Bank assurance
- Risk management for insurance companies
- Banking services
- Quality management in the banking sector
- Money and capital markets
- Accountants Role in International Capital Markets
- Implementation and Value Relevance of IFRS
- The Accountability of Government Functions
- Accounting for Carbon Credit& Sustainable Reporting
- Forensic Accounting
- International accounting education and research
- Corporate Governance and Accountability
- Earnings Management, Revenue Recognition and Quality of Earnings
- Behavioral Issues in Accounting and Finance
- Corporate Social Responsibility, reporting and disclosures
- Cross Cultural issues in International Accounting
- Corporate finance and financial markets
- Emerging markets, derivatives, real options and portfolio theory
- International finance and the new economy
- Financial liberalization and innovation
- Foreign direct and portfolio investment
- Corporate governance and access to public markets financing
- Innovative finance
- Economic meltdown and small economies