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The Banking and Finance Review (BFR) is a peer-reviewed international research journal dedicated to advancing knowledge in the fields of banking and finance. The journal provides a platform for publishing rigorous theoretical and empirical research that enhances understanding of financial systems, banking practices, markets, and the evolving dynamics of global finance.
Scope and Topics
BFR welcomes high-quality submissions that contribute to the development of banking and finance scholarship. Areas of interest include, but are not limited to:
- Corporate Finance
- Banking and Financial Institutions
- International Finance
- Investments and Portfolio Management
- Financial Markets and Instruments
- Insurance and Risk Management
- Financial Regulation and Policy
- Real Estate Finance
- Fintech, Digital Banking, and Innovation in Finance
On a limited basis, the journal also accepts case studies focusing on countries in the MENA and USA regions, particularly when they offer insights of broader significance to banking and finance research and practice.
The journal encourages research that is analytical, applied, and policy-relevant, to inform scholars, practitioners, and policymakers in the global financial community.
Abstracting and Indexing
Scopus, Cabell's, EBSCO, EconLit, Scientific Journal Rankings (SJR)
Journal Information
E-ISSN: 1947-6140 P-ISSN:1947-7945
Established and Published Since: 2009