About the Journal
Journal of Financial Strategic, Investment, and Management Analysis is a journal published by the Faculty of Economics and Business at Swadaya Gunung Jati University. It is published twice a year, in February and August. This journal aims to serve as a platform for academics, practitioners, policymakers, and students to share scientific and practical ideas, innovations, and insights in the modern financial world. The main focus areas of this discipline include:
- Digital finance, related to technological innovations in digital financial and banking systems, blockchain, e-wallets, and financial automation.
- Investment and portfolio management, related to investment strategies, portfolio management, return and risk analysis, and both traditional and digital assets.
- Banking and financial institutions, focusing on modern banking strategies, risk management, monetary policy, regulation, and financial service innovations.
- Analysis and Management Strategy, related to financial performance analysis, asset management, corporate finance, and strategic decision-making.
- Corporate Governance & Sustainability, related to corporate governance and ESG (Environmental, Social, Governance) factors that impact financial performance.




