Special
Issue on Financial and Quantitative Analysis
Financial analysis is also called
financial statement analysis or accounting analysis or financial analysis,
which refers to the assessment of the feasibility, stability and profitability
of a business or a project. Quantitative finance is the analysis of knowledge
in financial field by mathematical and statistical methods. Quantitative
analysis is an analysis of the company's quantifiable data by the investment
analyst using the mathematical module. It evaluates the company's operation and
makes investment judgment through the analysis. The goal of this special issue
is to provide a platform for scientists and academicians all over the world to
promote, share, and discuss various new issues and developments in the area of Financial
and Quantitative Analysis.
In this special issue, we intend to
invite front-line researchers and authors to submit original research and
review articles on exploring Financial and Quantitative Analysis.
Potential topics include, but are not limited to:
-
Quantitative methods of finance
-
Quantitative analysis of financial theory
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Corporate finance, investments, capital and security markets
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Financial analysis, planning and forecasting
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Financial management and analysis
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Financial analysis: tools and techniques
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Quantitative finance and risk management
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Quantitative finance and accounting
-
Quantitative investment management
Authors should read over the journal’s For Authors carefully before
submission. Prospective authors should submit an electronic copy of their
complete manuscript through the journal’s Paper Submission System.
Please kindly specify the “Special
Issue” under your manuscript title. The research field “Special Issue - Financial
and Quantitative Analysis” should be selected during your submission.
Special
Issue Timetable:
Submission Deadline
|
August 20th, 2020
|
Publication Date
|
November 2020
|
Guest Editor:
For further
questions or inquiries, please contact Editorial Assistant at
jmf@scirp.org.