About the Journal

Financial Strategy and Management Reviews is a peer-reviewed academic journal committed to advancing knowledge in the domains of corporate finance, investment strategies, risk management, and organizational financial planning. We hold a particular interest in how financial decisions are formulated, communicated, and implemented within organizations of different types and sizes, spanning both developed and emerging economies. Recognizing the complexity of today’s interconnected financial landscape, the journal fosters dialogue among scholars, practitioners, policymakers, and industry thought leaders who can offer diverse perspectives on corporate finance challenges and opportunities.

To ensure academic integrity and impartiality, we employ a double-blind peer review procedure for all submitted manuscripts. This process upholds anonymity for both authors and reviewers, aiming to produce fair and unbiased evaluations based solely on scholarly merit. Our editorial board is comprised of international specialists in finance, strategic management, accounting, economics, and related disciplines. Together, they help maintain the journal’s high standards of rigor, relevance, and clarity.

One of our core aims is to highlight critical issues in financial strategy, such as capital allocation, equity and debt structuring, corporate governance, and investment appraisals. Moreover, we encourage work on emerging areas like fintech innovations, sustainable investment practices, and global financial regulation. Through robust theoretical exploration and empirical validation, Financial Strategy and Management Review endeavors to bridge academic inquiry with real-world application, helping stakeholders make informed decisions in an ever-changing market landscape.

Our journal also welcomes review articles, case studies, and policy analyses that shed light on the operational, regulatory, and societal dimensions of financial strategies. By integrating sound methodologies and well-articulated arguments, these pieces expand upon conventional frameworks, offering fresh insights into the evolving nature of financial management and strategy. We serve as a nexus for collaborative research that illuminates both established and novel paradigms in finance.

Current Issue

Vol. 1 No. 1 (2025): Financial Strategy and Management Reviews
					View Vol. 1 No. 1 (2025): Financial Strategy and Management Reviews

Financial Strategy and Management Reviews is a peer-reviewed academic journal committed to advancing knowledge in the domains of corporate finance, investment strategies, risk management, and organizational financial planning. We hold a particular interest in how financial decisions are formulated, communicated, and implemented within organizations of different types and sizes, spanning both developed and emerging economies. Recognizing the complexity of today’s interconnected financial landscape, the journal fosters dialogue among scholars, practitioners, policymakers, and industry thought leaders who can offer diverse perspectives on corporate finance challenges and opportunities.

To ensure academic integrity and impartiality, we employ a double-blind peer review procedure for all submitted manuscripts. This process upholds anonymity for both authors and reviewers, aiming to produce fair and unbiased evaluations based solely on scholarly merit. Our editorial board is comprised of international specialists in finance, strategic management, accounting, economics, and related disciplines. Together, they help maintain the journal’s high standards of rigor, relevance, and clarity.

Published: 2025-04-23

Full Issue

Articles

  • The Dilemma and Breakthrough of Environmental Accounting in the Reform of Ecological Civilization System

    Chutong Wang, Wei Zhou (Author)
    1000001
    DOI: https://doi.org/10.71204/xarx0m25
  • Research on the Practical Application of Accounting in the Era of Artificial Intelligence

    Jiayin Xu, Boyue Zhang (Author)
    1000004
    DOI: https://doi.org/10.71204/082c7e23
  • Innovative Financial Management Models and Risk Mitigation Strategies for Newly Established Hospitals in Malaysia

    Junli Wang, Yuqian Zhang, Qingshan Huang (Author)
    1000027
    DOI: https://doi.org/10.71204/zwvk4h53
  • The Effectiveness of Green Finance in Carbon Emission Reduction: A Case Study Approach

    Taisheng Yang (Author)
    1000034
    DOI: https://doi.org/10.71204/11hh1x07
  • Research on the Application of Artificial Intelligence in Audit Risk Assessment

    Ruixue Yang (Author)
    1000046
    DOI: https://doi.org/10.71204/pe2dky43
  • Empirical Analysis of Digital Innovation’s Impact on Corporate ESG Performance: The Mediating Role of GAI Technology.

    Jun Cui (Author)
    1000048
    DOI: https://doi.org/10.71204/dapv6405
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