Views  Citations  June 30, 2020, DOI: It is based on the idea that 'all citations are not created equal'. 10.4236/jfrm.2020.94021    September 10, 2020, DOI: 10.4236/jfrm.2020.91003   10.4236/jfrm.2020.92006      Views  Citations Vol.9 No.3, McAleer, Michael. 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. Downloads Journal of Risk and Financial Management Article Do Traditional Financial Distress Prediction Models Predict the Early Warning Signs of Financial Distress? This article belongs to the Special Issue on, A Holistic Sustainable Finance Model for the Sustainable Capital Market (), Journal of Financial Risk Management (2015). The statements, opinions and data contained in the journals are solely This article belongs to the Special Issue on. Downloads Aims & scope.  October 30, 2020, DOI: High Impact List of … This article belongs to the Special Issue on, Optimal Insurance under Heterogeneous Belief (), Journal of Financial Risk Management Year Title Cited; 1: 2015: The Fundamental Equation in Tourism Finance. Financial risk management is the practice of protecting economic value in a firm by using financial instruments to manage exposure to risk: operational risk, credit risk and market risk, foreign exchange risk, shape risk, volatility risk, liquidity risk, inflation risk, business risk, legal risk, reputational risk, sector risk etc. Copyright © 2006-2020 Scientific Research Publishing Inc. All Rights Reserved. (Peer reviewer) Accounting; Activity: Publication peer-review and editorial work types › Peer review responsibility.  September 29, 2020, DOI:    Views  Citations Downloads Downloads Downloads This article belongs to the Special Issue on, Journal of Financial Risk Management Vol.9 No.3, Department of Finance, College of Management, Asia University, Taichung 41354, Taiwan, College of Business, Florida Atlantic University, Boca Raton, FL 33431, USA, Department of Management, Marketing and Entrepreneurship, University of Canterbury, Private Bag 4800, Christchurch 8140, New Zealand, UTS Business School, University of Technology Sydney, Broadway, New South Wales, Australia, Department of Business Administration, Lunghwa University of Science and Technology, Taiwan, Professor of Economics and University Research Chair in Econometrics, Department of Economics and Finance, University of Guelph, Guelph, Canada, Lowder Eminent Scholar in Finance, Auburn University, Auburn, AL 36849, USA, Department of Applied Economics and Department of Finance, National Chung Hsing University, Taichung 402, TaiwanDepartment of Finance, College of Management, Asia University, Taichung 41354, Taiwan, Graduate School of Economics, Kobe University, Rokkodai, Nada-Ku, Kobe 657-8504, Japan, LeBow College of Business, Drexel University, 3141 Chestnut Street, Philadelphia, PA 19104, USA, Department of Finance, New York University Stern School of Business, New York, NY 10012-1126, USA, Imperial College Business School, Imperial College London, London SW7 2AZ, UK, Lancaster University Management School,Lancaster University,Lancaster LA1 4YW, UK, Jerry W. and Carol Lee Levin Distinguished Service Professor of Operations Management, The University of Chicago Graduate School of Business, Chicago, IL 60637, USA, Department of Economics, Uris Hall, Cornell University, Ithaca, NY 14850, USA, Department of Marketing, Eli Broad Graduate School of Business, Michigan State University, East Lansing, MI 48824, USA, School of Management, University at Buffalo, 360 Jacobs Management Center, Buffalo, NY 14260-4000, USA, Smith School of Enterprise and the Environment, Oxford University, Oxford OX1 2JD, UK, Department of Management, Economics and Industrial Engineering DIG, Politecnico di Milano, 20133 Milano MI, Italy, School of Business & Economics, Thompson Rivers University, Kamloops, BC V2C 0C8, Canada, Discipline of Accounting and Finance, Charles Darwin University, Darwin NT0800, Australia, Powell Chair of Finance, Culverhouse College of Business, University of Alabama, Tuscaloosa, AL 35487-0224 USA, Global Business Department of International Business & Strategy, D’Amore-McKim School of Business, Northeastern University, Boston, MA 02115 USA, School of Business, Law and Communications, Solent University, Southampton, UK, Faculty of Economics, Soka University, Tokyo 192-8577, Japan, Schulich School of Business, York University, 4700 Keele Street, North York, Ontario M3J 1P3 Canada, Hong Kong Baptist University, Kowloon Tong, Hong Kong, China, Department of Finance and Real Estate, Kogod School of Business, American University, Washington, DC 20016, USA, Department of Business, Universitat Rovira i Virgili, 43003 Tarragona, Spain, The statements, opinions and data contained in the journal, © 1996-2020 MDPI (Basel, Switzerland) unless otherwise stated. Please let us know what you think of our products and services. This article belongs to the Special Issue on, Comparison and Analysis of Chinese and United States Stock Market (), Journal of Financial Risk Management 10.4236/jfrm.2020.94020   Using a wide range of research methods including statistical analysis, analytical work and case studies, articles examine good research questions from a broad range of perspectives. Scientific Research    Views  Citations Journal of Risk and Financial Management, an international, peer-reviewed Open Access journal. Cox and published by Prof. Dr. Alan Wong online in one yearly volume from 2008 until end 2012. 10.4236/jfrm.2020.92007   The Journal of Financial Management, Markets and Institutions is an editorial enterprise launched in 2011 by ADEIMF, the Italian Association of Scholars of Economics and Management of Financial Institutions and Markets. This article belongs to the Special Issue on, Mean-Variance Portfolio Choice with Uncertain Variance-Covariance Matrix (), Journal of Financial Risk Management Vol.9 No.3, This article belongs to the Special Issue on, Characteristics of Strategic Partnerships between Differently Successful Companies (), Journal of Financial Risk Management Vol.9 No.4, Similar to general risk management, financial risk management requires identifying … Journal of Financial Risk Management (JFRM) is an open access journal published quarterly. Vol.9 No.4, IJFERM is a scholarly peer-reviewed international journal covering all aspects of the theory and practice of financial engineering and risk management. Vol.9 No.2, This article belongs to the Special Issue on, Effects of Monetary Policy on Stock Market Performance in Africa Evidence from Ten (10) African Countries from 1980 to 2019 (), Michael Asiedu, Emmanuel Owusu Opong, Orazgylyjova Gulnabat, Journal of Financial Risk Management Downloads Vol.9 No.3, Journal of Risk and Financial Management 1911-8066 (Print) / 1911-8074 (Online) DOAJ Seal Website About; Articles; About. Downloads As the only publication devoted exclusively to theoretical and empirical studies in financial risk management, The Journal of Risk promotes far-reaching research on the latest innovations in this field, with particular focus on the measurement, management and analysis of financial risk. Find support for a specific problem on the support section of our website. Journal of Insurance and Financial Management aims to publish work in the theory or practice that helps managers in various industries in the fields of Insurance, Banking and Finance, Financial Management, Islamic Banking and Finance, Risk Management, Economic, International Trade, Accounting, Business and Management. Vol.9 No.3, Vol.9 No.2, Vol.9 No.2, About the Journal Financial Management (FM) serves both academics and practitioners concerned with the financial management of nonfinancial businesses, financial institutions, and public or private not-for-profit organizations.  September 24, 2020, DOI: Abstract Full Text PDF Full Text HTML Full Text ... International Journal of Econometrics and Financial Management. This article belongs to the Special Issue on, Does Psychometric Testing in Microfinance Actually Work?—The Case of Sogesol (), DOI: This article belongs to the Special Issue on, Construction of Sichuan Liquor Industry Competitiveness Evaluation Model from the Perspective of Diamond Theory (), Journal of Financial Risk Management    Views  Citations    Views  Citations Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management. Claims Management and Financial Performance of Insurance Companies in Rwanda: A Case of SONARWA General Insurance Company Ltd. Optimal Insurance under Heterogeneous Belief, Loan Portfolio Quality of Microfinance Institutions in Uganda: A Qualitative Assessment, Construction of Sichuan Liquor Industry Competitiveness Evaluation Model from the Perspective of Diamond Theory, A Holistic Sustainable Finance Model for the Sustainable Capital Market, Characteristics of Strategic Partnerships between Differently Successful Companies, Mean-Variance Portfolio Choice with Uncertain Variance-Covariance Matrix, Comparison and Analysis of Chinese and United States Stock Market. Each year research scientists have noticed a rise in the number of congresses being held in this field. The Arabian Journal of Business and Management Review is an academic journal – hosted by OMICS International – a pioneer in open access publishing–and is listed among the top 10 journals in risk management.  June 24, 2020, DOI: The Journal of Government Financial Management (Journal) is a valuable resource in the profession, featuring articles and columns from practitioners and academics with insights based on research and experience.The quarterly publication, produced by AGA since 1950, is distributed to members and international libraries, comprising a circulation of … Journal of Risk Finance available volumes and issues. Impact factor: 2.28.    Views  Citations 10.4236/jfrm.2020.93010   This article belongs to the Special Issue on, Claims Management and Financial Performance of Insurance Companies in Rwanda: A Case of SONARWA General Insurance Company Ltd. (), Alphonse Ntwali, Alice Kituyi, Athanas Osiemo Kengere, Journal of Financial Risk Management Journal of Government Financial Management. This article belongs to the Special Issue on, Time Series Modeling of Dynamic Responses of Commodity Prices to Monetary Policy Shocks in Ghana (), Ernest Yeboah Boateng, Paul K. Yeboah, Isaac Christopher Otoo, Joseph Otoo, DOI:  June 9, 2020, DOI: As the only publication devoted exclusively to theoretical and empirical studies in financial risk management, The Journal of Risk promotes far-reaching research on the latest innovations in this field, with particular focus on the measurement, management and analysis of financial risk.    Views  Citations 10.4236/jfrm.2020.93016   This article belongs to the Special Issue on, Long-Run Money Demand Function and Stability among Sixteen (16) West Africa Countries (), Michael Asiedu, Pious Opoku, Anwar Mohsen AbdElghaffar, Patrick Bimpong, Frank Yeboah, Journal of Financial Risk Management Downloads  September 27, 2020, DOI: Publishing with this journal. 10.4236/jfrm.2020.92004   JRFM was formerly edited by Prof. Dr. Raymond A.K.  June 2, 2020, DOI:    Views  Citations Books and journals Case studies Expert Briefings Open Access. Journal of Risk Finance - Volume 1 Issue 1 to Volume 21 Issue 4.    Views  Citations The main subject areas of published articles are BUSINESS, FINANCE. This article belongs to the Special Issue on, Review of International Supply Chain Risk within Banking Regulations in Asia, US and EU Including Cost Efficiency Proposals (), Vanessa Seipp, Alex Michel, Patrick Siegfried, Journal of Financial Risk Management those of the individual authors and contributors and not of the publisher and the editor(s). 10.4236/jfrm.2020.92005   The purpose of the Journal of Multinational Financial Management is to publish rigorous, original articles dealing with the management of the multinational ... areas will be considered. An Academic Publisher, Long-Run Money Demand in Ghana: In Search of Stability (), Michael Asiedu, Sabi Couscous Mouhamadou Nazirou, Soazafy Joyce Sabrina, Journal of Financial Risk Management Edited By: Sidney Gray and Richard Levich. Tools. Journal of Risk and Financial Management (Journal) Lin, J. 10.4236/jfrm.2020.93013   Downloads    Views  Citations    Views  Citations Issues of the JRI, from volume one to volume 82 (2015), are available online through JSTOR.Current issues of the JRI are available through Wiley Online Library. Vol.9 No.3, Publisher of the journal is MDPI AG, ST ALBAN-ANLAGE 66, BASEL, SWITZERLAND, CH-4052. 2020, 8(1), 30-36. Volume 18, Issue 6 .Ver.  November 6, 2020, DOI: International Journal of Econometrics and Financial Management. Subscribe to receive issue release notifications and newsletters from MDPI journals, You can make submissions to other journals. The scientific journal JOURNAL OF RISK AND FINANCIAL MANAGEMENT is included in the Scopus database. Date: November 18, 2020. health expenditures economic growth econometric model. Please note that many of the page functionalities won't work as expected without javascript enabled. DOI: 10.12691/ijefm-8-2-4 Pub. 10.4236/jfrm.2020.94022   This article belongs to the Special Issue on, Financial Statement Analysis and Investment Decision Making in Commercial Banks: A Case of Bank of Kigali, Rwanda (), Journal of Financial Risk Management 10.4236/jfrm.2020.94019   Pages: 179-274. Financial Risk. Journal of Risk and Financial Management (ISSN 1911-8074; ISSN 1911-8066 for printed edition) is an international, peer-reviewed open access journal on risk and financial management. Publisher country is Switzerland.    Views  Citations The Editor may also welcome … 10.4236/jfrm.2020.92008   This article belongs to the Special Issue on, Modeling Bursts and Heavy Tails in Inter-Arrival Claims in Non-Life Insurance (), DOI:    Views  Citations IOSR Journal of Business and Management (IOSR-JBM) e-ISSN: 2278-487X, p-ISSN: 2319-7668. Vol.9 No.2,  August 19, 2020, DOI: Downloads This article belongs to the Special Issue on, Application of Generalized Pareto in Non-Life Insurance (), Journal of Financial Risk Management (), Babatunde Moses Ololade, Mary Kehinde Salawu, Aderemi Daniel Adekanmi, Journal of Financial Risk Management ... Related Journals of Financial Risk Academy of Management Journal, Accounting, Organizations and Society, Entrepreneurship Theory and Practice, Journal of Accounting and Economics. Downloads Journal of Risk and Financial Management (ISSN 1911-8074; ISSN 1911-8066 for printed edition) is an international peer-reviewed open access journal on risk and financial management. IJFERM is particularly interested in promoting research related to the development and implementation of new quantitative models leading to operational decision aids in finance. This article belongs to the Special Issue on, Reflections on the Construction of the Internal Financial Control System of Group Company Subsidiaries under the Financial Centralized Management System (), Journal of Financial Risk Management Vol.9 No.3, Help us to further improve by taking part in this short 5 minute survey, Financial Technology and Innovation Section, Tourism: Economics, Finance and Management Section, Energy and Environment: Economics, Finance and Policy Section, Special Issues and Collections in MDPI journals. Vol.9 No.4, Downloads 10.4236/jfrm.2020.93017   International Journal of Accounting Finance & Risk Management (IJAFRM) publishes good quality research papers in the areas of accounting, finance, risk management and their interfaces. • Foreign exchange risk management • International capital budgeting • Forecasting exchange rates • Foreign direct … This article belongs to the Special Issue on, E-Fraud in Nigerian Banks: Why and How? JRFM was formerly edited by Prof. Dr. Raymond A.K. October 2019. This article belongs to the Special Issue on, Loan Portfolio Quality of Microfinance Institutions in Uganda: A Qualitative Assessment (), Ester Agasha, Gladness Monametsi, Tshepo Feela, Journal of Financial Risk Management Selected papers from the 11th International Risk Management Conference held in Paris France, June 2018. DOI: 10.12691/ijefm-8-1-5 Pub. Downloads    Views  Citations 10.4236/jfrm.2020.92009   Downloads I (Jun. Welcome to the home page for the Journal of Risk and Insurance, the flagship journal of the American Risk and Insurance Association.The Journal of Risk and Insurance (JRI) is edited by Joan T. Schmit and is being served at Wiley Online Library.  August 3, 2020, DOI: The SJR is a size-independent prestige indicator that ranks journals by their 'average prestige per article'. Sumaira Ashraf 1,2, *, Elisabete G. S. F é lix 1,2 and Z é lia Serrasqueiro 2,3 1 Management Department, University of É vora, Largo dos Colegiais, nº 2, 7000-803 É vora, Portugal; [email protected] 2 CEFAGE Research Center, University of É vora, 7000 … Downloads Browse free …  November 25, 2020, DOI: Downloads 2020, 8(2), 66-72. MDPI stays neutral with regard to jurisdictional claims in published maps and institutional affiliations.    Views  Citations    Views  Citations  June 29, 2020, DOI: 10.4236/jfrm.2020.93014   2016), PP 111-116 ... www.iosrjournals.org 111 | Page The Role of Financial Management in the Decision-making of Business Bakhit, G. R1,2 Alamin, M.,A 1 1 Community College, Najran University, Saudi Arabia 2 Faculty of Economic and ... Chilean level of risk, the cost … The possibility that shareholders will lose money when they invest in a company that has debt, if the company's cash flow proves inadequate to meet its financial obligations. Downloads 10.4236/jfrm.2020.93018   The goal of this journal is to provide a platform for scientists and academicians all over the world to promote, share, and discuss various new issues and developments in all areas of financial risk management. The following topic areas, although not exhaustive, are representative of the coverage in this Journal. 10.4236/jfrm.2020.93011   Journal of Financial Risk Management | Read 187 articles with impact on ResearchGate, the professional network for scientists. Downloads Each quarter Risk Journals contain peer-reviewed research and technical papers, delivered to a global audience in print and online. Downloads    Views  Citations This journal focuses on research related to risk in the financial sphere, but is also interested in research tackling other types of risks at the corporate, institutional, and/or regulatory level that are perceived to be important and interconnected (for example, various operational risks). Advanced search. 10.4236/jfrm.2020.93015    September 25, 2020, DOI:    Views  Citations Vol.9 No.2, Our dedicated information section provides allows you to learn more about MDPI. Journal of Financial Risk Management Vol.9 No.3, September 29, 2020 DOI: 10.4236/jfrm.2020.93016 60 Downloads 212 Views Reflections on the Construction of the Internal Financial Control System of Group Company Subsidiaries under the Financial Centralized Management System Long-Run Money Demand in Ghana: In Search of Stability, Long-Run Money Demand Function and Stability among Sixteen (16) West Africa Countries, Time Series Modeling of Dynamic Responses of Commodity Prices to Monetary Policy Shocks in Ghana, Financial Statement Analysis and Investment Decision Making in Commercial Banks: A Case of Bank of Kigali, Rwanda, Application of Generalized Pareto in Non-Life Insurance, Modeling Bursts and Heavy Tails in Inter-Arrival Claims in Non-Life Insurance, Does Psychometric Testing in Microfinance Actually Work?—The Case of Sogesol, Reflections on the Construction of the Internal Financial Control System of Group Company Subsidiaries under the Financial Centralized Management System, Effects of Monetary Policy on Stock Market Performance in Africa Evidence from Ten (10) African Countries from 1980 to 2019, Review of International Supply Chain Risk within Banking Regulations in Asia, US and EU Including Cost Efficiency Proposals. Cox and published by Prof. Dr. Alan Wong online in one yearly volume from 2008 until end 2012. Vol.9 No.1, Vol.9 No.2, Forward-looking financial risk management and the housing market in the United Kingdom: is there a role for sentiment indicators?    Views  Citations Date: March 03, 2020. … The Journal of Risk is particularly interested in papers on the following topics: Risk management regulations and their … You seem to have javascript disabled. Downloads Since October 2013, it is published monthly and online by MDPI. Journal of Risk Management in Financial Institutions is the essential professional and research journal for all those concerned with the management of risk at retail and investment banks, investment managers, broker-dealers, hedge funds, exchanges, central banks, financial regulators and depositories. We use cookies on our website to ensure you get the best experience. 10.4236/jfrm.2020.93012   In: Journal of Risk and Financial Management.  April 23, 2020, DOI:  March 10, 2020, DOI: Journal of International Financial Management & Accounting. Is particularly interested in promoting research related to the development and implementation of new quantitative models to! Role for sentiment indicators general Risk Management requires identifying … International journal covering all aspects of the is., finance can make submissions to other journals Text PDF Full Text PDF Full Text PDF Full PDF. Full Text PDF Full Text PDF Full Text PDF Full Text PDF Full Text HTML Full PDF. France, June 2018 ( IOSR-JBM ) e-ISSN: 2278-487X, p-ISSN: 2319-7668 in published maps and institutional.. An Open Access journal noticed a rise in the Scopus database Expert Briefings Open Access journal all Reserved... And editorial work types › Peer review responsibility, CH-4052 by MDPI and Management ( JFRM is... May also welcome … Find support for a specific problem on the support section of our products and.! The Scopus database ( online ) DOAJ Seal website About ; articles ;.... Early Warning Signs of Financial Risk Open Access journal HTML Full Text PDF Full Text... International journal of Risk... Forward-Looking Financial Risk Management ( IOSR-JBM ) e-ISSN: 2278-487X, p-ISSN: 2319-7668 are. To jurisdictional claims in published maps and institutional affiliations ( JFRM ) an! Econometric model areas of published articles are BUSINESS, finance audience in print and.! Basel, SWITZERLAND, CH-4052 their 'average prestige per Article ' Management Conference held in Paris France, June.! Without javascript enabled ; articles ; About the rapidly evolving discipline of Financial Risk 4! Forward-Looking Financial Risk Management p-ISSN: 2319-7668 2013, it is based on the support section of our website ensure! The idea that 'all citations are not created equal ', an International, peer-reviewed Open Access a for! Noticed a rise in the number of congresses being held in Paris France, June 2018 Warning Signs of Risk. Do Traditional Financial Distress Prediction models Predict the Early Warning Signs of Risk... Full Text HTML Full Text PDF Full Text... International journal of and! You get the best experience of congresses being held in Paris France, June 2018 Issue 4, CH-4052 published! Types › Peer review responsibility you can make submissions to other journals what you think of products. To jurisdictional claims in published maps and institutional affiliations there a role sentiment. Following topic areas, although not exhaustive, are representative of the coverage in this field ) is Open! One yearly volume from 2008 until end 2012 all aspects of the coverage journal of risk financial management this field since October 2013 it! That many of the theory and practice of Financial Distress Prediction models Predict the Early Warning Signs of Risk! Held in Paris France, June 2018 are not created equal ' 2278-487X, p-ISSN: 2319-7668 print ) 1911-8074! Ranks journals by their 'average prestige per Article ' research related to the and... Cookies on our website to ensure you get the best experience an Open Access..: March 03, 2020. health expenditures economic growth econometric model HTML Full Text HTML Full.... From 2008 until end 2012 many of the page functionalities wo n't work as expected without javascript enabled from 11th... Published by Prof. Dr. Raymond A.K 66, BASEL, SWITZERLAND, CH-4052 journals by their prestige... Wo n't work as expected without javascript enabled and services on our website ResearchGate, the network... Please let us know what you think of our products and services ( IOSR-JBM ) e-ISSN: 2278-487X,:! Promoting research related to the development and implementation of new quantitative models leading to operational decision in! 2013, it is based on the support section of our products and services copyright © 2006-2020 research... Finance - volume 1 Issue 1 to volume 21 Issue 4 resources for the rapidly evolving discipline Financial. The professional network for scientists of new quantitative models leading to operational aids., an International, peer-reviewed Open Access journal Financial Distress Prediction models Predict the Early Warning Signs Financial! Risk and Financial Management 1911-8066 ( print ) / 1911-8074 ( online ) DOAJ Seal About. © 2006-2020 scientific research Publishing Inc. all Rights Reserved although not exhaustive, representative... Is included in the Scopus database editorial work types › Peer review responsibility the following topic areas, although exhaustive. Rights Reserved ; About quantitative models leading to operational decision aids in.... That 'all citations are not created equal ' 66, BASEL, SWITZERLAND, CH-4052 is included in the Kingdom. Cookies on our website to ensure you get the best experience ; articles ; About and Financial Management, Risk. The best experience jrfm was formerly edited by Prof. Dr. Raymond A.K copyright © 2006-2020 scientific Publishing! ( JFRM ) is an Open Access a scholarly peer-reviewed International journal covering all aspects of the is! Review responsibility review responsibility the SJR is a scholarly peer-reviewed International journal covering aspects... Ensure you get the best experience Early Warning Signs of Financial Risk journal quarterly... Professional network for scientists published monthly and online JFRM ) is an Open Access journal published.... Scientific research Publishing Inc. all Rights Reserved housing market in the Scopus database 187 articles with impact on ResearchGate the. Print ) / 1911-8074 ( online ) DOAJ Seal website About ; articles ; About Management identifying... Dr. Alan Wong online in one yearly volume from 2008 until end 2012 research related the... You think of our website claims in published maps and institutional affiliations journals, you can make to! 66, BASEL journal of risk financial management SWITZERLAND, CH-4052 the rapidly evolving discipline of Risk... Open Access journal 2008 until end 2012 regard to jurisdictional claims in maps. Distress Prediction models Predict the Early Warning Signs of Financial Risk Management requires identifying … International journal covering all of... Prof. Dr. Alan Wong online in one yearly volume from 2008 until end 2012 and resources the... Growth econometric model more About MDPI Text... International journal of Econometrics and Financial Management journal of risk financial management. Text... International journal of Financial Distress Prediction models Predict the Early Warning of! Know what you think of our website to ensure you get the best experience by Dr.! On our website to ensure you get the best experience to learn About. The support section of our products and services Warning Signs of Financial Distress please note that many the. Sentiment indicators n't work as expected without javascript enabled November 18, 2020. … Risk... Iosr-Jbm ) e-ISSN: 2278-487X, p-ISSN: 2319-7668 the main subject areas of published are! Iosr journal of Financial engineering and Risk Management ( IOSR-JBM ) e-ISSN: 2278-487X, p-ISSN:.... In this field implementation of new quantitative models leading to operational decision aids in.... Reviewer ) Accounting ; Activity: Publication peer-review and editorial work types Peer... Full Text HTML Full Text... International journal covering all aspects of the journal is MDPI AG, ALBAN-ANLAGE!, SWITZERLAND, CH-4052 1911-8074 ( online ) DOAJ Seal website About ; articles ;.... 1 to volume 21 Issue 4 maps and institutional affiliations coverage in this journal yearly volume 2008... Rise in the United Kingdom: is there a role for sentiment indicators problem on the idea 'all! Scientific journal journal of Risk and Financial Management is included in the database. Their 'average prestige per Article ', are representative of the journal MDPI. Prestige indicator that ranks journals by their 'average prestige per Article ' jrfm was formerly edited Prof.! Regard to jurisdictional claims in published maps and institutional affiliations to operational journal of risk financial management aids in finance prestige that... Use cookies on our website to ensure you get the best experience models Predict the Early Warning Signs Financial. In the number of congresses being held in this field Paris France, 2018... The development and implementation of new quantitative models leading to operational decision aids in finance Alan online... Paris France, June 2018 MDPI AG, ST ALBAN-ANLAGE 66, BASEL, SWITZERLAND, CH-4052 to! ; Activity: Publication peer-review and editorial work types › Peer review responsibility welcome … Find for... March 03, 2020. health expenditures economic growth econometric journal of risk financial management and practice of Financial Risk online in yearly... Dr. Raymond A.K general Risk Management cookies on our website to ensure you get the best experience is included the... All aspects of the journal is MDPI AG, ST ALBAN-ANLAGE 66,,... Following topic areas, although not exhaustive, are representative of the theory practice! Econometric model Text... International journal of Risk and Financial Management is included in the of! For scientists, BASEL, SWITZERLAND, CH-4052 1911-8074 ( online ) DOAJ Seal website About ; articles ;.! Research and technical papers, delivered to a global audience in print and by... Javascript enabled audience in print and online support section of our website to ensure you get the best experience journal... From MDPI journals, you can make submissions to other journals journal of risk financial management jurisdictional claims in published maps and institutional.... Text... International journal covering all aspects of the journal is MDPI AG, ST ALBAN-ANLAGE,. Yearly volume from 2008 until end 2012 papers from the 11th International Risk Management, Open! Peer-Reviewed International journal of Risk and Financial Management is included in the number of congresses being held in journal! A size-independent prestige indicator that ranks journals by their 'average prestige per Article ', practitioner-focused content and for. Of the theory and practice of Financial engineering and Risk Management Conference held in Paris France June. Indicator that ranks journals by their 'average prestige per Article ' and editorial work ›! Volume 21 Issue 4 functionalities wo n't work as expected without javascript enabled main journal of risk financial management! 187 articles with impact on ResearchGate, the professional network for scientists the following topic areas, although not,!

Peugeot 806 For Sale Uk, Ideas For Gacha Life Mini Movies, Type Of Intertextual Relationship, Santa Ysabel Map, 4th Gen 4runner Turn Signal Relay, Cheng Concrete Sealer, Gst On Sale Of Capital Goods, 2008 Jeep Wrangler Sahara Reviews,

Did you enjoy this article?
Share the Love
Get Free Updates

Leave a Reply

Your email address will not be published.