Aim & Scope
The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial risks and risk management. Articles, including review articles, empirical and conceptual, which display thoughtful, accurate research and be rigorous in all regards, are most welcome on the following topics: Securitization; derivatives and structured financial products; Financial risk management; Regulation of risk management; Risk and corporate governance; Liability management; Systemic risk; Cryptocurrency and risk management; Credit arbitrage methods; Corporate social responsibility and risk management; Enterprise risk management; FinTech and risk; Insurtech; Regtech; Blockchain and risk; Climate change and risk. [1]
Continuations / Journal History
( 2000 - 2004 ) | Balance Sheet | ( 1999 - 9999 ) | Journal of Risk Finance |
2024
Why do firms list their shares in the US? The role of political uncertainty
Journal of Risk Finance , 2024
How do green bonds promote common prosperity? Evidence from Chinese prefecture-level cities
Y Liu , K Dong , K Wang , ... , F Taghizadeh-Hesary
Journal of Risk Finance , 2024
Stock price crash risk research: current trends and future directions
A Srivastava , R Assaf , D Pandey , R Kumar
Journal of Risk Finance , 2024
Geopolitical risk and banking performance: evidence from emerging economies
Journal of Risk Finance , 2024
Temporary employment and financial distress in times of crisis
D Zhang , N Wellalage , V Fernandez
Journal of Risk Finance , 2024