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Focus and Scope

The Indonesian Capital Market Review (ICMR) aims to disseminate innovative research findings in the field of empirical financial economics. The journal welcomes original research articles, empirical studies, theoretical contributions, and critical reviews that address significant issues in financial markets, institutions, and corporate finance, particularly those related to financial frictions in both developed and emerging markets. Topics of interest include, but are not limited to:

  • Capital Markets
  • Corporate Finance
  • Financial Institutions and Banking
  • Asset Pricing and Portfolio Management
  • Risk Modeling and Financial Risk Management
  • Market Microstructure
  • Behavioral Finance
  • Islamic Finance
  • Financial Crises and Stability
  • Financial Intermediation
  • Investment and Securities Analysis
  • Sustainable Finance and ESG (Environmental, Social, and Governance)
  • Green Finance and Banking
  • Digital Finance and Financial Technology (FinTech)
  • Financial Inclusion
  • International Finance
  • Corporate Governance in Financial Contexts