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International Journal of Banking, Finance, and Risk Management

Open Access | Peer-Reviewed

International Journal of Banking, Finance, and Risk Management

The International Journal of Banking, Finance, and Risk Management publishes cutting-edge research on financial markets, corporate finance, quantitative finance, banking, and risk management strategies.

📢 Call for Papers — Submit your research on financial innovation, global market dynamics, and risk mitigation strategies for our upcoming issue on “Future of Digital Finance and Global Economic Stability.”

Analyzing Global Financial Markets, Banking Innovation, and Advanced Risk Management

Volume 13, Issue 3 (2025)

July – September 2025

Impact of AI and Machine Learning on Credit Risk Assessment

Published: 3 days ago

DOI: 10.5678/ijbfrm.2025.310

The Role of Central Bank Digital Currencies (CBDCs) in Global Payments

Published: 1 week ago

DOI: 10.5678/ijbfrm.2025.311

Sustainable Finance: Integrating ESG Metrics into Investment Decisions

Published: 2 weeks ago

DOI: 10.5678/ijbfrm.2025.312

Impact Factor: 8.878

Indexed in: Scopus, Web of Science, DOAJ, CrossRef, Google Scholar

8.878

Impact Factor

14

Days to First Decision

92%

Author Satisfaction

3.5

Weeks to Publication

Why Publish With Us

We provide a platform for clinical researchers to share their findings with a global audience

Financial Market Analysis

In-depth research on market dynamics, asset pricing, and investment strategies in global and local contexts.

Banking and Regulation

Innovative studies on central banking, financial regulation, retail banking, and digital transformation (Fintech).

Advanced Risk Management

Articles on credit, market, operational, and systemic risk, including quantitative modeling and stress testing.

Featured Research in Banking, Finance, and Risk Management

Risk Management and Fintech

Impact of AI and Machine Learning on Credit Risk Assessment

Dr. Kwame Nkrumah, Prof. Mei Lin

DOI: 10.5678/ijbfrm.2025.310

Dr. Kwame Nkrumah, Prof. Mei Lin

July 17, 2025

Banking and Monetary Policy

The Role of Central Bank Digital Currencies (CBDCs) in Global Payments

Dr. Anya Sharma, Dr. Ben Carter

DOI: 10.5678/ijbfrm.2025.311

Dr. Anya Sharma, Dr. Ben Carter

July 10, 2025

Investments and Corporate Finance

Sustainable Finance: Integrating ESG Metrics into Investment Decisions

Prof. Javier Diaz, Dr. Fatima Zahra

DOI: 10.5678/ijbfrm.2025.312

Prof. Javier Diaz, Dr. Fatima Zahra

June 25, 2025

Quantitative Finance

Volatility Modeling with GARCH-Type Models in Emerging Markets

Dr. David Ochieng, Dr. Lena Popova

DOI: 10.5678/ijbfrm.2025.313

Dr. David Ochieng, Dr. Lena Popova

June 10, 2025

Banking Regulation

Basel III and Liquidity Risk Management in Commercial Banks

Dr. Yasmine Al-Saadi, Prof. Kenji Tanaka

DOI: 10.5678/ijbfrm.2025.314

Dr. Yasmine Al-Saadi, Prof. Kenji Tanaka

May 28, 2025

Financial Markets

Behavioral Finance: Explaining Investor Biases in Market Bubbles

Dr. Ethan Miller, Dr. Sofia Santos

DOI: 10.5678/ijbfrm.2025.315

Dr. Ethan Miller, Dr. Sofia Santos

May 12, 2025

Fintech

Impact of AI and Machine Learning on Credit Risk Assessment

DOI: 10.5678/ijbfrm.2025.310

7,250 views

Banking

The Role of Central Bank Digital Currencies (CBDCs) in Global Payments

DOI: 10.5678/ijbfrm.2025.311

6,890 views

Investments

Sustainable Finance: Integrating ESG Metrics into Investment Decisions

DOI: 10.5678/ijbfrm.2025.312

6,410 views