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About Us |
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About The Journal of Risk
Published by Incisive Media - the leading provider of information for the financial risk management community - the main focus of this quarterly refereed journal is innovative theoretical and empirical studies in financial risk management.
The Journal of Risk features:
• An expansive range of detailed papers providing all the latest empirical research and analysis you need to further develop your understanding of financial risk management.
• The latest innovations on theoretical and empirical studies in financial risk management covering the management of market and credit risk, capital allocation and volatility estimation.
• Analytical aspects of option pricing and hedging including empirical models of interest rates and asset prices.
• Regulatory and accounting reporting of financial risks.
As the only publication devoted exclusively to theoretical and empirical studies in financial risk management, The Journal of Risk provides unique access to the latest thinking from the best minds in this rapidly evolving field, making it essential reading for anyone with an interest in this area.
Indexed/Abstracted in:
Cabell's Directory of Publishing Opportunities in Economics and Finance
Current Contents/Social Behavioral Sciences
Econlit
Journal Citation Reports/Social Sciences Edition
Journal of Economic Literature (JEL)
Social Sciences Citation Index
Social Scisearch
Subscribe now click here.
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www.thejournalofrisk.com |
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The Risk Books and Journals group on  is where editors, authors and readers can launch discussions about published and forthcoming books.
Click here to read these discussions and become part of the Risk Books and Journals group.
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