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Qualitative Research in Financial Markets

Qualitative Research in Financial Markets


ISSN: 1755-4179

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Editorial Objective

Launching in 2009, Qualitative Research in Financial Markets provides an international, peer-reviewed forum to explore the burgeoning research activity in finance that uses qualitative methods. Building on a long pedigree of finance research, the journal will publish innovative analyses and novel insights into financial markets worldwide.

Coverage

In addition to peer-reviewed articles, the journal publishes in-depth case studies with real relevance to practice, along with extended book reviews. The Editor also explicitly encourages submission of methodological studies regarding the use of qualitative methods in finance research.

Empirical studies making use of interview, case study and survey methods to investigate the following (non-exhaustive) list of topics are welcomed (in all cases, evidence regarding investor, corporate and/or regulator views and experiences may be relevant):

Benefits

Readership

It is intended that the focus on employment of qualitative analysis will render the journal more accessible to finance practitioners than many traditional quantitative-based finance publications. 

Qualitative Research in Financial Markets is available as part of an online subscription to the Emerald Accounting and Finance Subject Collection. For more information, please email collections@emeraldinsight.com.

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Sample Articles

  • Qualitative research in finance - pedigree and renaissance
    Bruce Burton
    A special issue of Studies in Economics and Finance that was precursor to this new journal
    Volume: 24 Issue: 1; 2007
    View Abstract | HTML | PDF

  • Investors' behaviour in the Athens Stock Exchange (ASE)
    Dimitrios I. Maditinos, Željko Ševic and Nikolaos G. Theriou
    A special issue of Studies in Economics and Finance that was precursor to this new journal
    Volume: 24 Issue: 1; 2007
    View Abstract | HTML | PDF


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