About the Journal
The objective of KEUNIS is to promote the wide dissemination of the results of systematic scholarly inquiries into the broad field of finance and research into banking topics.
The KEUNIS is intended to be the journal for publishing articles reporting the research results on finance and business. The KEUNIS provides a specialized forum for the publication of research in the following areas:
Finance
Accounting and Financial Reporting; Alternative Investments; Asset Pricing; Behavioral Finance; Corporate Finance; Corporate Governance and Ethics; Derivative Pricing and Hedging; Empirical Finance; Financial Accounting; Financial Applications of Decision Theory or Game Theory; Financial Applications of Simulation or Numerical Methods; Financial Economics; Financial Engineering; Financial Forecasting; Financial Risk Management and Analysis; Financial Technology; International Finance; Portfolio Optimization and Trading; Real Estate Finance; Regulation of Financial Markets and Institutions; Rural Finance; Stochastic Models for Asset and Instrument Prices; Systemic Risk; Taxation.
Banking
Banking Efficiency; Banking Regulation; Bank Solvency and Capital Structure; Bank Management; Bank Fund Management, Central Banking; Conventional versus Non-Conventional Banking; Credit Rating; CSR of Bank; Financial Stability; E-Banking; Foreign Exchange Management, Investment Banking; International Banking; Internet Banking; Islamic Banking; Liquidity Management; Merchant Banking; Mobile Banking; Monetary and Fiscal Policy Decision-Making; Online Banking; Offshore Banking; Retail Banking; SMEs Banking.
Finance
Accounting and Financial Reporting; Alternative Investments; Asset Pricing; Behavioral Finance; Corporate Finance; Corporate Governance and Ethics; Derivative Pricing and Hedging; Empirical Finance; Financial Accounting; Financial Applications of Decision Theory or Game Theory; Financial Applications of Simulation or Numerical Methods; Financial Economics; Financial Engineering; Financial Forecasting; Financial Risk Management and Analysis; Financial Technology; International Finance; Portfolio Optimization and Trading; Real Estate Finance; Regulation of Financial Markets and Institutions; Rural Finance; Stochastic Models for Asset and Instrument Prices; Systemic Risk; Taxation.
Banking
Banking Efficiency; Banking Regulation; Bank Solvency and Capital Structure; Bank Management; Bank Fund Management, Central Banking; Conventional versus Non-Conventional Banking; Credit Rating; CSR of Bank; Financial Stability; E-Banking; Foreign Exchange Management, Investment Banking; International Banking; Internet Banking; Islamic Banking; Liquidity Management; Merchant Banking; Mobile Banking; Monetary and Fiscal Policy Decision-Making; Online Banking; Offshore Banking; Retail Banking; SMEs Banking.