The Annual Review of Financial Economics aims to provide comprehensive, forward-looking and critical reviews of the most significant theoretical, empirical, and experimental developments in financial economics, including the fields of capital markets, corporate finance, financial institutions, market microstructure, and behavioral and experimental finance. Perhaps more than in any other branch of the social sciences, the science of financial economics directly influences the practice of financial economics, thereby creating a broad spectrum of practical insights and applications which, when implemented, yields valuable feedback that reinvigorates academic research. Accordingly, this series will also cover significant scientific developments in the financial industry and among government agencies.
The intended audience of the Annual Review of Financial Economics includes graduate students and faculty in the economics and finance departments, government regulators and policy makers, and finance professionals.
Global Reach of Annual Review of Financial Economics
Paper Downloads by Country