About the Journal

Finance and Management Review (FMR) is an international, peer-reviewed academic journal published by THE ACADEMIC CONFLUENCE (SMC-PRIVATE) LIMITED. The journal publishes high-quality original research, review articles, and scholarly studies in the fields of finance, management, and business studies. It provides a platform for academicians, industry professionals, and policymakers to exchange insights, theoretical perspectives, and practical approaches that address contemporary challenges and emerging trends in the global business environment.

Frequency : Semiannual

FMR encourages both theoretical and applied research that bridges academic knowledge and real-world business practices. The journal follows a rigorous Triple-blind peer-review process to ensure academic integrity, quality, and relevance.

Scope :

The journal welcomes submissions in the following areas, but not limited to:

  • Corporate Finance and Financial Management

  • Investment Analysis and Portfolio Management

  • Banking, Financial Institutions, and Financial Markets

  • Risk Management and Insurance

  • Accounting, Auditing, and Corporate Governance

  • Strategic Management and Business Policy

  • Leadership, Entrepreneurship, and Innovation

  • Organizational Behavior and Human Resource Management

  • Operations and Supply Chain Management

  • Marketing Management and Consumer Behavior

  • Sustainability, ESG, and Corporate Social Responsibility

  • Business Ethics and Regulatory Studies

Finance and Management Review aims to contribute to informed decision-making and sustainable economic development by disseminating impactful research relevant to academics, practitioners, and policymakers worldwide.