Special issues
Browse all special issues from The European Journal of Finance.
Sustainable Finance and Governance (Workshop at the University of Bath held on Monday 17th May 2021)
Volume 30, Issue 7, 2024 pages 669-771
The Impact Of Corruption On Investment And Financing In The European Union: New Insights
Volume 30, Issue 4, 2024 pages 339-455
Workshop on Recent Developments in Financial Data Science and Econometrics (Smurfit Graduate Business School, University College Dublin, 4th & 5th September 2019)
Volume 30, Issue 1, 2024 pages 1-100
Post BREXIT: Uncertainty, Risk Measurement and COVID-19 Challenges
Volume 29, Issue 16, 2023 pages 1825-1974
3rd Workshop on Behavioral and Cognitive Approaches in Entrepreneurship (Centre d’Economie de la Sorbonne, 12-13 September, 2019)
Volume 29, Issue 13, 2023 pages 1461-1578
New Challenges of Global Banking and Finance
Volume 29, Issue 7, 2023 pages 693-868
Economic Science with Heterogeneous Interacting Agents
Volume 28, Issue 13-15, 2022 pages 1257-1539
Hawkes Process in Finance
Volume 28, Issue 7, 2022 pages 621-799
Recent Advances and Future directions in Macro-finance: Macroeconomic Conditions and Corporate Decisions
Volume 28, Issue 4-5, 2022 pages 307-549
Economic policies and their effects on financial markets
Volume 27, Issue 10, 2021 pages 929-1051
Initial Coin Offerings and Fintech
Volume 27, Issue 4-5, 2021 pages 305-459
Recent Developments in Econometrics and Financial Data Science
Volume 27, Issue 1-2, 2021 pages 1-198
10th Portuguese Finance Network Conference ISCTE - Instituto Universitario de Lisboa, Lisbon
Volume 26, Issue 13, 2020 pages 1239-1353
Banks and Financial Markets in Times of Uncertainty, Essex Business School, University of Essex, 7-8th July 2017.
Volume 26, Issue 10, 2020 pages 893-(v)
Policy Actions and Financial Stability.A selection of papers presented at the 8th Financial Engineering and Banking Society (FEBS) International Meeting Università di Roma Tre, Rome, Italy, 4th to 6th June 2018
Volume 26, Issue 7-8, 2020 pages 585-836
Financial Literacy and Responsible Finance in the FinTech Era: Capabilities and Challenges
Volume 26, Issue 4-5, 2020 pages 297-442
Eighth International Conference on Mathematical and Statistical Methods for Actuarial Sciences and Finance, University Carlos III de Madrid, Madrid, 4-6th April 2018
Volume 26, Issue 2-3, 2020 pages 95-294
Workshop on Recent Developments in Econometrics and Financial Data Science ICMA Centre, Henley Business School, University of Reading, UK, 2nd November 2017
Volume 25, Issue 17, 2019 pages 1627-1815
Financial Markets Innovation and Regulation A selection of papers presented at the 7th Financial Engineering and Banking Society (FEBS) International Meeting University of Strathclyde, Glasgow, Scotland, 1st-3rd June 2017
Volume 25, Issue 7, 2019 pages 595-743
Fifth Conference on the Chinese Capital Markets University of Manitoba, Winnipeg, Canada, 16th and 17th July 2015
Volume 25, Issue 6, 2019 pages 459-594
Fourth Conference on the Chinese Capital Markets
Volume 24, Issue 16, 2018 pages 1369-1568
Seventh International Conference on Mathematical and Statistical Methods for Actuarial Sciences and Finance, Dauphine Université Paris, 30th March to April 2016.
Volume 24, Issue 13, 2018 pages 1075-1122
Special Issue on Third Conference of the Behavioural Finance Working Group Conference, Queen Mary University of London, UK, 11th – 12th June 2015
Volume 24, Issue 7-8, 2018 pages 517-681
Third Conference of the Behavioural Finance Working Group Conference, Queen Mary University of London, UK, 23rd -24th June 2014
Volume 23, Issue 13, 2017 pages 1197-1266
8th Portuguese Finance Network Conference University of the Algarve, 18th – 20th June 2014
Volume 23, Issue 12, 2017 pages 1083-1196
Third Conference on the Chinese Capital Markets University of Edinburgh Business School, 1st-2nd July 2013
Volume 23, Issue 7-9, 2017 pages 573-840
Special Issue of papers presented at: Sixth International Conference on Mathematical and Statistical Methods for Actuarial Sciences and Finance. Guest Editors: Martin Eling, Nicola Loperfido, Cira Perna and Marilena Sibillo
Volume 23, Issue 6, 2017 pages 457-572
Special Issue of papers presented at the Fifth International Conference on Mathematical and Statistical Methods for Actuarial Sciences and Finance
Volume 22, Issue 13, 2016 pages 1237-1362
2014 Forecasting Financial Markets Conference
Volume 22, Issue 12, 2016 pages 1109-1236
First Conference of the Behavioural Finance Working Group, Cass Business School, 21st–22nd June 2012
Volume 22, Issue 8-9, 2016 pages 627-802
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