Home      Aim and Scope      Editorial Board      Frequency      Submission      Guidelines for Authors      Contact Us
ISSN 2277-9388
Volume 5, Issue 2, July -Dec 2016
Volume 5, Issue 1, Jan Jun 2016
Volume 4, Issue 2, July December 2015
Volume 4, Issue 1, Jan-June 2015
Volume 3, Issue 2, July-Dec 2014
Volume 3, Issue 1, Jan-June 2014

- Full text of papers available on EBSCO database.
- Listed on Ulrich's Periodical directory, USA
The aim of the WEALTH-IJMBF is to publish rigorous and original articles dealing with the both national and international aspects of financial markets, institutions and money. Theoretical /conceptual and empirical papers providing meaningful insights into the subject areas will be considered. Journal aims to publish articles of high quality dealing with issues in money, investment, banking and finance. The following topic areas, although not exhaustive, are representative of the coverage in this journal:

  • Financial markets
  • Securities market
  • Portfolio management and risk analysis
  • Commercial and investment banking
  • Monetary and fiscal policies
  • Foreign exchange
  • Forward rates and swaps
  • Payment mechanism
  • Monetary systems
  • Balance of payments
  • Financial regulations and governance.
WEALTH-JMBF covers publishing of research articles, special issues, proceedings of conferences and short research notes, book reviews particularly in the areas of money, banking, finance, investment, financial economics, e-banking and e-finance, financial analysis, risk management, financial derivatives, mathematical finance, financial accounting , financial engineering and credit rating .