Dear Ma'am or Sir:
Please distribute the following Call For Chapters (CFC) to your subscribership at the Academy of International Business at your earliest convenience:
Please note there is an international business & trade aspect to this CFC.
Tihana Škrinjarić, University of Zagreb (Croatia)
Mirjana Čižmešija, University of Zagreb (Croatia)
Bryan Christiansen, Global Training Group (United Kingdom)
Proposals Submission Deadline: October 13, 2019
Full Chapters Due: February 10, 2020
Submission Date: June 4, 2020
IntroductionPortfolio and risk management faces many challenges today. This is due to the different knowledge needed in order to conduct the total portfolio management. This includes knowledge from the area of finance, economics, but quantitative disciplines as well. The data available today is also increasing at a rapid rate, as well as the different quantitative approaches. This includes many different models and methods for the goals of achieving particular investment goals. Thus, the goals of this book will be to analyze recent achievements in theory and practice of portfolio and risk management, with a focus on quantitative methods.
ObjectiveSince many different approaches of financial modelling are being developed today, a newer publication which includes most recent contributions is needed so that existing practices can be updated to be more tailored to the real state of economics and finance.
Target AudienceThe target audience includes financial analysts, managers, and academics within the field of financial modelling and portfolio management. New insights from theory and empirical applications can increase the current level of their knowledge.
Recommended TopicsWe welcome chapter contributions centered (but not exclusively) on the following themes:
- international business and financial management
- new approaches of risk and/or return modelling
- budgeting and forecasting
- portfolio optimization
- credit scoring
- investment strategies
- corporate risk management and modelling
- financial connectedness and shock spillovers
Submission ProcedureResearchers and practitioners are invited to submit on or before October 13, 2019, a chapter proposal no more than 1,000 words clearly explaining the mission and concerns of his or her proposed chapter. Authors will be notified by October 27, 2019 about the status of their proposals and sent chapter guidelines. Full chapters are expected to be submitted by February 10, 2020, and all interested authors must consult the guidelines for manuscript submissions at http://www.igi-global.com/publish/contributor-resources/before-you-write/ prior to submission. All submitted chapters will be reviewed on a double-blind review basis. Contributors may also be requested to serve as reviewers for this project.
Note: There are NO submission or acceptance fees for manuscripts submitted to this book publication, Managerial Strategies for Navigating Economic Nationalism. All manuscripts are accepted based on a double-blind peer review editorial process.
All proposals should be submitted through the E-Editorial DiscoveryTM online submission manager.
PublisherThis book is scheduled to be published by IGI Global (formerly Idea Group Inc.), publisher of the "Information Science Reference" (formerly Idea Group Reference), "Medical Information Science Reference," "Business Science Reference," and "Engineering Science Reference" imprints. For additional information regarding the publisher, please visit www.igi-global.com. This publication is anticipated to be released in 2021.
Important Dates1st proposal submission deadline: October 13, 2019
Full (First Draft) Chapters Submission: February 10, 2020
Double-Blind Peer Review Process: February 11 - March 26, 2020
Review Results Due to Chapter Authors: April 9, 2020
Revisions Due From Authors: May 7, 2020
Final Acceptance/Rejection Due To Authors: May 21, 2020
All Final Revisions Due From Authors: June 4, 2020