The journal Financial Assets and Investing is a reviewed scientific journal which has been issued three times per year since 2010 by Masaryk University. Its aim is to present new findings in the fields of financial markets, banking, insurance, accounting and regulatory framework.

It is an open access journal which means that all content is freely available without charge to the user or his/her institution. Users are allowed to read, download, copy, distribute, print, search, or link to the full texts of the articles in this journal without asking prior permission from the publisher or the author. This is in accordance with the BOAI definition of open access.

The journal focuses on:

  • the development, analyses, efficiency and performance of financial markets
  • the analyses, development and performance of particular financial instruments traded on these markets
  • banking and the insurance industry and their regulatory framework
  • accounting and tax regulations concerning trading on financial markets and individual investment instruments
  • the assessment, analysis and comparison of risk connected with these investment instruments
  • their development tendencies, their usage in entrepreneurial activities, and the impacts they have on the entrepreneurial entities and economy.

The journal is placed on the List of non-impact peer-reviewed journals published in the Czech Republic for the year 2015.

Financial Assets and Investing is included in the following services:

  • Academic Journals Database
  • CrossRef
  • Directory of Open Access Journals
  • Ulrichsweb – Global Serials Directory

Call for papers

Call for papers is permanently open for articles across all the research areas.

tel.: +420 549 494 683 | e-mail: fai@econ.muni.cz
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