EDITORIAL POLICY
阐述了《金融研究杂志》的编辑政策,将金融研究宽泛定义为涵盖财务管理、投资、金融机构、资本市场理论和投资组合理论,并强调关注个体经营单位的财务决策和政策制定。
It is the editorial policy of The Journal of Financial Research that "financial research" is broadly interpreted to include financial management, investments, financial institutions, capital market theory, and portfolio theory.This definition of scope is intended to include research results that imply market characteristics.The preferred subject matter for The Journal addresses financial decision making and policy making of the individual unit of operation as opposed to monetary economics or public policy.As an example, The Journal will focus on the financial management of financial institutions in contrast to an analysis of macro-monetary and financial variables.Also, contributions that illustrate the application of a management science technique or quantitative tool should be directly connected with finance to be publishable in The Journal.