Focus and Scope

The Journal of Financial Management and Strategy Analysis (JFMSA) publishes high-quality, peer-reviewed research in the field of financial management and strategic analysis, providing a platform for scholars, practitioners, and policymakers to exchange ideas and findings. The journal encourages interdisciplinary approaches that link finance with business strategy, economics, and public policy.

Areas of interest include, but are not limited to:

  • Corporate Financial Management – capital structure, working capital management, corporate governance, and dividend policy.

  • Strategic Financial Planning – long-term financial decision-making, financial forecasting, and resource allocation strategies.

  • Investment Analysis and Portfolio Management – valuation techniques, investment performance, and asset allocation strategies.

  • Risk Management and Financial Sustainability – enterprise risk assessment, hedging strategies, and financial resilience.

  • Public Sector and Non-Profit Financial Strategies – budgeting, accountability, and strategic resource management.

  • Financial Technology (FinTech) and Innovation – digital finance, blockchain applications, and technology-driven strategic models.

  • Performance Measurement and Evaluation – financial ratios, benchmarking, and balanced scorecard approaches.

  • Economic Policy and Regulatory Impacts – analysis of fiscal and monetary policies, compliance, and governance frameworks.

JFMSA accepts original research articles, review papers, and conceptual analyses that address theoretical developments, empirical studies, or case-based applications. Submissions may adopt qualitative, quantitative, or mixed-method approaches and should contribute to advancing knowledge and practice in financial management and strategic analysis.