Strategic Financial Reviews
Strategic Financial Reviews (SFR) is a peer-reviewed journal that publishes rigorous empirical and theoretical research in finance and economics.
Journal Details
Acceptance Rate
16%
Review Type
Double-Blind
Published
Biannual
Access
Open Access
Scope
Strategic Financial Reviews (SFR) is a peer-reviewed journal that publishes rigorous empirical and theoretical research in finance and economics. The journal covers a broad spectrum of financial disciplines, from corporate capital structure to macroeconomic policy and market microstructure.
Aims & Objectives
SFR aims to advance the frontiers of financial knowledge by publishing research that combines methodological rigor with real-world relevance. We are particularly interested in research that addresses pressing issues in global financial markets, regulatory environments, and sustainable finance.
Subject Areas
Article Types Accepted
Peer Review Process
Step 01
Initial Screening
Editorial team reviews scope fit and formatting within 5 business days.
Step 02
Double-Blind Review
Minimum two independent expert reviewers assess originality, methodology, and contribution.
Step 03
Decision & DOI
Authors receive a decision. Accepted articles receive a CrossRef DOI and are published open access.
Submit to this Journal
Ready to submit your research?
We accept original research, review articles, and case studies on a rolling basis. All accepted work receives a DOI and is published open access.
Submit a PaperEditor-in-Chief
Prof. Elena Vasquez
London School of Economics
Indexed & Abstracted In
Publication Info
Editorial Enquiries
For editorial enquiries related to this journal, contact our publishing team.
Contact Editorial Office →Open for Submissions
Publish your research in SFR.
We accept research articles, policy papers, literature reviews, and more. All submissions undergo double-blind peer review and receive a CrossRef DOI upon acceptance.
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