Reprint

Editorial Board Members’ Collection Series: Journal of Risk and Financial Management

Edited by
March 2025
442 pages
  • ISBN 978-3-7258-3413-6 (Hardback)
  • ISBN 978-3-7258-3414-3 (PDF)

This is a Reprint of the Special Issue Editorial Board Members’ Collection Series: Journal of Risk and Financial Management that was published in

Business & Economics
Computer Science & Mathematics
Summary

Recently, the Journal of Risk and Financial Management completed a Special Issue comprising papers invited by Editorial Board Members, which included papers on a variety of topics related to applied financial economics and risk management. It contains a very diverse collection of papers that span many of the areas that the academic community is actively completing research on, making this Special Issue a leader in the disciplines in question. The aim was to provide an avenue for networking and communication between JRFM and scholars in the field of financial and economic risk and management, and the final collection represents a successful outcome. The printed collection of papers acts as an additional vehicle for the dissemination of this research that was published in the Special Issue, and hopefully will prove useful for research and teaching purposes alike.

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