Vol. 1 No. 1 (2026): March: Capitalis: Journal of Economic Stability, Banking, and Investment

					View Vol. 1 No. 1 (2026):  March: Capitalis: Journal of Economic Stability, Banking, and Investment

Capitalis: Journal of Economic Stability, Banking, and Investment is a peer-reviewed academic journal dedicated to publishing high-quality scholarly work in the fields of economics, banking, finance, and investment studies. The journal serves as an international platform for researchers, financial analysts, banking professionals, regulators, and policymakers to disseminate original research articles, empirical studies, theoretical analyses, and critical reviews addressing contemporary issues in financial systems and economic stability.

Capitalis welcomes manuscripts in areas such as monetary economics, financial stability, banking management, central banking policy, risk management, financial regulation, investment analysis, capital markets, Islamic banking and finance, digital banking innovation, financial technology, sustainable finance, and global financial integration. All submissions undergo a rigorous double-blind peer-review process to ensure originality, analytical rigor, methodological robustness, and meaningful scholarly contribution.

Published quarterly in March, June, September, and December, Capitalis aims to foster global academic dialogue, promote evidence-based financial research, and strengthen the role of banking and investment studies in supporting resilient financial systems and sustainable economic growth at local, national, and international levels.

Published: 2026-03-01