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Article
Peer-Review Record

Methodological Foundations of the Risk of the Stock Markets of Developed and Developing Countries in the Conditions of the Crisis

J. Risk Financial Manag. 2022, 15(1), 3; https://doi.org/10.3390/jrfm15010003
by Diana Burkaltseva 1,2, Shakizada Niyazbekova 3,4,*, Lyudmila Borsch 5, Mir Abdul Kayum Jallal 6, Nataliya Apatova 7, Ardak Nurpeisova 8, Alexander Semenov 9 and Ayagoz Zhansagimova 10
Reviewer 1: Anonymous
Reviewer 2: Anonymous
Reviewer 3: Anonymous
J. Risk Financial Manag. 2022, 15(1), 3; https://doi.org/10.3390/jrfm15010003
Submission received: 21 September 2021 / Revised: 13 November 2021 / Accepted: 26 November 2021 / Published: 22 December 2021

Round 1

Reviewer 1 Report

I think that this is an interesting article. I hope that my comments will be of some help for the authors to improve the article. 

(1) Literature has not been extensively considered. The paper demonstrates an inadequate understanding of the relevant literature in the field and thus an appropriate range of literature sources and significant works are ignored.

(2) The results need expansion — The results should be discussed and compared with other studies. Especially, the authors should clearly explain the similarity and differences between their results and those of previous research.

(3) The paper must identify clearly any implications for research, practice and/or society. Thus, the paper must bridge the gap between theory and practice. How can the research be used in practice (economic and commercial impact), to influence public policy, in research? What is the impact on society? Are these implications consistent with the findings and conclusions of the paper?

Author Response

Manuscript ID   jrfm-1410040

Type

Article

 

Title     Methodological Foundations of the Risk of the Stock Markets of Developed and Developing Countries in the Conditions of the Crisis

 

Good day, Dears REWIEVER  1, 2 , 3

 

1 REWIEVER

WE FIXED The results were discussed and compared with other studies!

THE CONCLUSIONS ARE AGREED

THE CURRENT STATE IS PRESENTED, THE LIST OF REFERENCES HAS BEEN REVISED AND STRENGTHENED Added item

English professional translated

 

2 REWIEVER

THE REFERENCES HAS BEEN CORRECTED, REVISED AND STRENGTHENED

English professional translated

 

 

3 REWIEVER

THE CURRENT STATE IS PRESENTED, THE LIST OF REFERENCES HAS BEEN REVISED AND STRENGTHENED

Added item

Formation of a modern financial market model,

The main challenges of the time in the development of stock markets,

Development of the stock market in Russia

English professional translated

Thank you! Sincerely, co-authors!

Author Response File: Author Response.docx

Reviewer 2 Report

The topic of the paper is very interesting for finance researchers.

Minor revision: 

Literature Review: The paper needs more literature review for the topic. 

 

 

Author Response

Manuscript ID   jrfm-1410040

Type

Article

 

Title     Methodological Foundations of the Risk of the Stock Markets of Developed and Developing Countries in the Conditions of the Crisis

 

Good day, Dears REWIEVER  1, 2 , 3

 

1 REWIEVER

WE FIXED The results were discussed and compared with other studies!

THE CONCLUSIONS ARE AGREED

THE CURRENT STATE IS PRESENTED, THE LIST OF REFERENCES HAS BEEN REVISED AND STRENGTHENED Added item

English professional translated

 

2 REWIEVER

THE REFERENCES HAS BEEN CORRECTED, REVISED AND STRENGTHENED

English professional translated

 

 

3 REWIEVER

THE CURRENT STATE IS PRESENTED, THE LIST OF REFERENCES HAS BEEN REVISED AND STRENGTHENED

Added item

Formation of a modern financial market model,

The main challenges of the time in the development of stock markets,

Development of the stock market in Russia

English professional translated

 

Thank you! Sincerely, co-authors!

Author Response File: Author Response.docx

Reviewer 3 Report

The paper covers an interesting topic related to Stock Exchanges. It tries to follow the usual pattern but some of the parts/sections are not well achieved. An important section is the state of the art of the topic that is not presented and should be. The list of references is very small even if the number of articles written in the list of references is reasonable. All the sections can be improved, as well as the English language and the subtitles of the sections and notes to the tables and graphics..

Author Response

Manuscript ID   jrfm-1410040

Type

Article

 

Title     Methodological Foundations of the Risk of the Stock Markets of Developed and Developing Countries in the Conditions of the Crisis

 

Good day, Dears REWIEVER  1, 2 , 3

 

1 REWIEVER

WE FIXED The results were discussed and compared with other studies!

THE CONCLUSIONS ARE AGREED

THE CURRENT STATE IS PRESENTED, THE LIST OF REFERENCES HAS BEEN REVISED AND STRENGTHENED Added item

English professional translated

 

2 REWIEVER

THE REFERENCES HAS BEEN CORRECTED, REVISED AND STRENGTHENED

English professional translated

 

 

3 REWIEVER

THE CURRENT STATE IS PRESENTED, THE LIST OF REFERENCES HAS BEEN REVISED AND STRENGTHENED

Added item

Formation of a modern financial market model,

The main challenges of the time in the development of stock markets,

Development of the stock market in Russia

English professional translated

 

Thank you! Sincerely, co-authors!

Author Response File: Author Response.docx

Round 2

Reviewer 3 Report

Even the authors adopt forms of writing that are not the ones I would adopt, in my opinion the paper can be published as it is. I recommend a final revision of the English text befora publishing.

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