
Academic Journal
Q2Journal of Capital Markets Studies
About Journal of Capital Markets Studies
Journal of Capital Markets Studies is a scholarly journal published by Emerald Publishing. SCImago 2025 lists it in Q2, with an SJR of 0.496 and H-index of 13.
Coverage: 2017-2025. Research categories: Economics and Econometrics (Q2); Economics, Econometrics and Finance (miscellaneous) (Q2); Finance (Q2).
Open-access policies and author information
Reported in the official DOAJ public CSV snapshot (2026-09-01), downloaded 2026-10-03. Record updated 2025-06-29. This snapshot does not establish today’s listing status or fee quotation.
Publisher policy links recorded by DOAJ
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Source: DOAJ journal record. Journal metadata is distributed by DOAJ under CC0. Confirm current fees, tax, eligibility and waiver terms with the publisher.
Source-backed journal facts
Topics in published research
Financial Markets and Investment Strategies; Corporate Finance and Governance; Market Dynamics and Volatility; Auditing, Earnings Management, Governance; Monetary Policy and Economic Impact; Banking stability, regulation, efficiency.
OpenAlex classifies topics from published works. These topics are not the publisher’s official aims and scope.
Source: OpenAlex source record. Retrieved 2026-10-03. Source record updated 2026-10-01. OpenAlex metrics are different from SCImago metrics and the Clarivate Journal Impact Factor.
Journal Metrics
Quartile, SJR and the listed SCImago H-index use the 2025 imported SCImago dataset. A quartile may vary by subject category. Values without a source or reporting year are unverified historical entries. Verify the current Journal Impact Factor with Clarivate or the publisher before using it.
Aims & Scope
The publisher’s official aims and scope have not yet been verified for this profile. Use the journal website to check subject fit and accepted article types before submitting.
Recent Research Articles
Latest publications matched automatically by ISSN.
Editorial
Guler Aras
2026-08-20 · DOI: 10.1108/jcms-07-2026-137Asymmetric bidirectional relationships between green attention index, green and conventional bonds in a regime-switching environment: evidence from N-ARDL approach
Yousra Trichilli, Moez Boujelbène, Mouna Boujelbène-Abbes
2026-08-20 · DOI: 10.1108/jcms-05-2025-0057Dynamic quantile and time–frequency connectedness in global markets and commodities during health and geopolitical crises
Olfa El Aoun
2026-08-20 · DOI: 10.1108/jcms-05-2025-0062Improving investment efficiency through financial reporting quality in emerging markets
Ilker Yilmaz, Haitham Nobanee
2026-08-20 · DOI: 10.1108/jcms-04-2025-0047Machine learning methods for investigating the nexus between FDI and environmental degradation: evidence from Sub-Saharan African countries
Nuray Tezcan
2026-08-20 · DOI: 10.1108/jcms-09-2025-0136Editorial
Guler Aras
2025-12-10 · DOI: 10.1108/jcms-11-2025-097Dissecting the tail: assessing global drivers of French sustainable markets
Amal Essayem
2025-12-10 · DOI: 10.1108/jcms-05-2025-0055Asset allocation models: evolution and diversity – a systematic literature review
Bolivar Godinho de Oliveira Filho, Johan Hendrick Poker Junior
2025-12-10 · DOI: 10.1108/jcms-05-2025-0067From green claims to market crashes: the moderating forces of climate risk
Isnaini Nuzula Agustin, Candy Candy, Jervis William
2025-12-10 · DOI: 10.1108/jcms-06-2025-0069Environmental, social and governance (ESG) investing and Indian capital market indices: dynamic connectedness and risk management strategies
Priya Malhotra
2025-12-10 · DOI: 10.1108/jcms-12-2024-0096Game theory applications in finance: a review of literature
Oluseun Paseda
2025-12-10 · DOI: 10.1108/jcms-04-2025-0044Green signaling or greenwashing? ESG disclosure, firm performance and capital allocation in BRICS equity markets
Lemuel Kenneth David, Jianling Wang, Meiling Luo, Idrissa I. Cisse et al.
2025-12-10 · DOI: 10.1108/jcms-06-2025-0080Editorial
Guler Aras
2025-08-07 · DOI: 10.1108/jcms-07-2025-060Global spillover persistence and market resilience during uncertainty
Irene Phan, Xiaojun Luo, Ismail Adelopo
2025-06-02 · DOI: 10.1108/jcms-03-2025-0031Impact of Tax- and IFRS-based financial disclosures on stock prices in Borsa Istanbul
Burak Pirgaip, Meryem Uyar
2025-08-07 · DOI: 10.1108/jcms-09-2024-0059Divergent impacts of financial factors on Islamic vs conventional stock markets: insights from advanced countries using MM-QR
Irfana Sadat, Sakir Gormus
2025-08-07 · DOI: 10.1108/jcms-06-2024-0030Sentiments in the cryptocurrency market: an in-depth analysis of influential factors applying ISM-MICMAC and AHP
Diya Sharma, Renu Ghosh, Charu Shri, Divya Khatter et al.
2024-12-18 · DOI: 10.1108/jcms-07-2024-0038Editorial
Guler Aras
2024-11-26 · DOI: 10.1108/jcms-11-2024-055Performance analysis of the Next Eleven countries regarding climate change for the selected years
Nuray Tezcan
2024-11-26 · DOI: 10.1108/jcms-08-2024-0043Corporate governance and capital market development in the GCC: a comparative literature review
Mohamed A. Ateia Elhabib
2024-11-26 · DOI: 10.1108/jcms-06-2024-0027Reviews
Community Reviews
Version History
October 2, 2026 at 9:27 pm
October 2, 2026