About the Journal

Focus and Scope

CREDIT AND CAPITAL MARKETS is a scientific journal based on the principle of double-blind review. It publishes articles focusing on analytical and empirical studies in the fields mentioned hereafter: stability and growth processes in national and international markets, monetary and foreign-exchange theory and policy, financial market theory, bank management and banking regulation policy.

Since its establishment in 1968, CREDIT AND CAPITAL MARKETS has presented approximately 1000 contributions, among them articles which lead the way and are respected internationally in research and teaching, in theory and policy.

Starting with volume 2022, this journal will be published in Open Access as part of a Subscribe to Open pilot project.

Peer Review Process

All submitted manuscripts are subjected to a double-blind peer review process, as it is a common international practice. In other words, authors and reviewers do not find out about each other's identity. This procedure is intended to ensure the technical quality of the contributions.

Publication Frequency

  • language: German, English
  • published quarterly
  • about 600 pages per year
  • special issues on central topics

Sponsoring

CREDIT AND CAPITAL MARKETS is sponsored by Wissenschaftsförderung der Sparkassen-Finanzgruppe e.V.