We welcome high-quality theoretical and empirical papers across a broad spectrum of topics, including but not limited to:
- Financial econometrics and credit risk modelling
- Portfolio management, trading strategies, and market microstructure
- Corporate finance, banking, and financial stability
- Climate risk in banking
- Behavioral finance and financial decision-making
- Macroeconomic modeling and forecasting
- Microeconomic modeling
- Economic policy, financial regulation, and systemic risk
- Labor markets, income distribution, and economic growth
- Interconnections between financial markets and the real economy
- Political economy of war and conflict