Welcome to the International Journal of Finance and Management.

 The site is set up with dedicated content to get a grip of the various current issues in the field of finance and management, especially in an era of global turbulence. International Journal of Finance and Management (IJFM) is a highly selective journal featuring literate and policy- relevant analysis on international issues such as:

  • Managing through the global financial turbulence
  • Making Smarter Risk Decisions
  • International Risk Management facing multinationals and individuals, including derivatives markets, portfolio management and volatility models
  • Operating globally and risk such as currency risk, market risk, credit risk, and country risk
  • Financial and Cost Management of firms
  • Microcredit finance and access to credit to entrepreneurs
  • Reporting Performance and success measures
  • Strenghtening Governance and Regulatory Compliance, and
  • Managing People

The journal's readership extends well beyond academia and attracts audience from national treasuries and corporate treasuries, central banks and investment banks, and major international financial and marketing organizations.  To maintain the quality of this UK based journal, all articles are reviewed according to a set of international standards and guidelines.  IJFM has also in its vision of linking with international conferences dealing with finance and management issues, and serve the global community towards better education and research publications.

Once again, from the chief editor, I welcome you to IJFM and feel free to contact the journal. Don't forget to register with us. 

Latest news

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