主题词:Financial Markets and Investment Strategies; Stochastic processes and financial applications; Financial Risk and Volatility Modeling; Market Dynamics and Volatility; Corporate Finance and Governance; Monetary Policy and Economic Impact; Complex Systems and Time Series Analysis; Credit Risk and Financial Regulations; Banking stability, regulation, efficiency; Stock Market Forecasting Methods; Economic theories and models; Risk and Portfolio Optimization; Energy, Environment, Economic Growth; Insurance and Financial Risk Management; Auditing, Earnings Management, Governance; Global Financial Crisis and Policies; Housing Market and Economics; Capital Investment and Risk Analysis; Insurance, Mortality, Demography, Risk Management; Financial Reporting and Valuation Research; COVID-19 Pandemic Impacts; Probability and Risk Models; Blockchain Technology Applications and Security; Islamic Finance and Banking Studies; Corporate Social Responsibility Reporting