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Journal of Investment Compliance

Journal of Investment Compliance


ISSN: 1528-5812

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Information Page


Editorial objective

The Journal of Investment Compliance (JOIC) is a quarterly professional journal covering regulatory and compliance issues relevant to broker-dealers, investment advisers, mutual funds, hedge funds and other types of investment companies in the principal financial markets of the world.

Editorial criteria

Papers written for the journal should provide straightforward practical advice to help compliance professionals monitor a situation or set up policy. Furthermore, all submissions should offer insight into the future direction of the industry and the compliance implications. Papers which address practical issues affecting compliance professionals and those providing insight into the handling of these issues, will be looked on most favourably.

Coverage

Topicality

Compliance issues are now at the forefront of the investment industry. We are living in a time of tremendous change in the financial world, where regulators are grappling with industry-wide rules and regulations, which impact on profits at financial firms worldwide. At the same time, compliance professionals at broker-dealers and investment advisory firms are being asked to carry a heavier burden than ever before. The Journal of Investment Compliance aids industry professionals by giving them access to the latest regulatory developments and new professional thinking in the investment industry.

Key benefits

Key journal audiences

 Journal of Investment Compliance is indexed and abstracted in: 

 

To find out the usage statistics for this journal please email the publisher 

Journal of Investment Compliance 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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This journal is a member of and subscribes to the
principles of the Committee on Publication Ethics.

Sample Articles

  • Taking the risk out of mutual fund compliance: a seven-step check list for safer, more cost-efficient mutual fund sales
    Jeff Levering
    Volume: 9 Issue: 1; 2008
    View Abstract | HTML | PDF

  • The development of US regulation of broker-dealer research
    Charles S. Gittleman, Russell D. Sacks
    Volume: 9 Issue: 2; 2008
    View Abstract | HTML | PDF


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