Special Issue on Stock Market and Behavioral Finance
The stock
market refers to the collection of markets and exchanges where the regular
activities of buying, selling and issuance of shares of publicly held companies
take place. Such financial activities are conducted through institutionalized
formal exchanges or over-the-counter (OTC) marketplaces which operate under the
defined set of regulations.
In this special issue, we intend to invite front-line
researchers and authors to submit original research and review articles on Stock Market and Behavioral Finance. Potential topics include, but are not limited
to:
-
Stock market analysis
-
Stock market
prediction
-
Stock market liquidity
-
Stock returns and volatility
-
Stock market valuation
-
Stock price behavior
-
Investment behavior
-
Stock market crash
-
International stock market behavior
-
Stock market
and macroeconomic behavior
-
Monetary policy and stock market
-
Portfolio optimization
-
Market share and firm performance
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 notice that the “Special Issue”
under your manuscript title is supposed to be specified and the research field
“Special Issue – Stock Market and
Behavioral Finance” should be chosen during your submission.
According to the
following timetable:
Submission Deadline
|
June 21st, 2022
|
Publication Date
|
August 2022
|
For
publishing inquiries, please feel free to contact the Editorial Assistant at submission.entrance1@scirp.org
TEL
Editorial Office
tel@scirp.org