《太平洋盆地金融期刊》旨在為出版有關(guān)亞太國(guó)家資本市場(chǎng)的學(xué)術(shù)研究提供一個(gè)專門論壇。主要重點(diǎn)將放在以下領(lǐng)域的最高質(zhì)量的經(jīng)驗(yàn)和理論研究:?市場(chǎng)微觀結(jié)構(gòu);?投資和投資組合管理;?市場(chǎng)均衡理論;?金融和實(shí)物資產(chǎn)估值;?金融領(lǐng)域的資產(chǎn)價(jià)格行為;?財(cái)務(wù)管理規(guī)范理論;?發(fā)展中的資本市場(chǎng);?市場(chǎng)機(jī)制
The Pacific-Basin Finance Journal is aimed at providing a specialized forum for the publication of academic research on capital markets of the Asia-Pacific countries. Primary emphasis will be placed on the highest quality empirical and theoretical research in the following areas:? Market Micro-structure;? Investment and Portfolio Management;? Theories of Market Equilibrium;? Valuation of Financial and Real Assets;? Behavior of Asset Prices in Financial Sectors;? Normative Theory of Financial Management;? Capital Markets of Development;? Market Mechanisms
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