Call For Papers
Journal of Financial Management, Markets and Institutions (JFMI)

The Journal of Financial Management, Markets and Institutions (http://jfmi.univpm.it), a new scientific journal founded by the Italian Association of Scholars of Economics and Management of Financial Institutions and Markets ADEIMF ( http://www.adeimf.it/new/associazione/aboutus), is delighted to announce a Call for papers for the first issue of the Journal.

TOPICS: The JFMI aims to publish high-quality, original and innovative research papers concerning broad areas of finance, such as:
- Financial Institutions
- Financial Markets
- Risk Management
- Investments
- Corporate Finance

The mission of the JFMI is to provide new insights that can significantly contribute to advancing knowledge regarding financial institutions, markets and corporate finance. Potential contributions should address useful research questions, have a sound and robust research design and a rigorous methodological approach. They can be of an empirical, analytical, or clinical nature. The Journal encourages the submission of papers which are based on a multidisciplinary approach that reflects the diversity of the different research areas in finance.

The JFMI publishes papers that have been accepted by the Editorial Board after a double-blind peer-reviewed process. The Journal's Editorial Board is committed to an effective, accurate, transparent and rapid review process. To this end, a global team of Associate Editors supports the Editorial Board ( http://jfmi.univpm.it/index.php/jfmi/about) in the reviewing process.

The Journal is bi-annual (published twice a year) and will be freely available on-line to make research easily accessible beyond the academic community.

PAPER SUBMISSION PROCEDURE: The Editorial Board welcomes submissions of papers to be considered for publication. Papers must be submitted electronically at the following web page address: http://jfmi.univpm.it/index.php/jfmi/user/register

Please note that the submission deadline for the First Issue (June 2013) is the 7th of January 2013.

Thank you for your time and attention.

Editor in Chief: Cesare Bisoni: Universita di Modena e Reggio Emilia - IT

Department Editors:
Elena Beccalli: Universita Cattolica - IT
Massimo Caratelli: Universita di Roma Tre - IT
Giampaolo Gabbi: Universita di Siena - IT
Caterina Lucarelli: Universita Politecnica delle Marche - IT
Laura Nieri: Universita di Genova - IT
Andrea Resti: Universita Bocconi - IT
Sandro Sandri: Universita di Bologna - IT

Associate Editors:
Carlo Acerbi: MSCI - CH, and University of Essex -UK
Gordon M. Bodnar: Johns Hopkins University - USA
Celso Brunetti: Division of Research and Statistics, Federal Reserve Board of Governors and John Hopkins University - USA
Lorenzo Caprio: Università a Cattolica - IT
Barbara Casu Lukac: Cass Business School - UK
Carl Chiarella: Head of Finance Discipline Group, University of Technology Sydney - AUS
Rosita Cocozza: Universita di Napoli Federico II - IT
Christian Dunis: Liverpool John Moores University - UK
Mara Faccio: Krannert School of Management, Purdue University - USA
Riccardo Ferretti: Universita di Modena e Reggio Emilia - IT
Ted Gardener: Bangor Business School- Bangor University- UK
Paolo Giudici: Universita di Pavia -IT
Giorgio Gobbi: Bank of Italy - IT
Frederick H. Harris: Wake Forest University - USA
David Hillier: University of Strathclyde - UK
Giulia Iori: City University - UK
Nadia Linciano: Head of Economic Research Unit, Research Department, CONSOB- IT
Terrence F. Martell: Saxe Distinguished Professor of Finance and Director of the Weissman Center for International Business, Baruch College, City University of New York - USA
Vikas Mehrotra: University of Alberta - CA
Phil Molyneux: Bangor Business School - Bangor University - UK
Steven Ongena: Tilburg University - NL
Sergio Paci: Universita Bocconi - IT
Fotis Pasiouras: University of Surrey - UK, and Technical University of Crete, GR
Giovanni Petrella: Universita Cattolica - IT
Javier Quesada: Instituto Valenciano de Investigaciones Economicas (IVIE) - ES
Mario Quagliariello: Head of the Risk Analysis Unit, European Banking Authority - UK
Meir Statman: Santa Clara University - USA and Visiting Professor of Finance - Tilburg University - NL
Dirk Tasche: Financial Services Authority - UK



Posted 12/18/12