Special Issues

Risks publishes Special Issues to create collections of papers on specific topics, with the aim of building a community of authors and readers to discuss the latest research and develop new ideas and research directions. Special Issues are led by Guest Editors, who are experts on the topic and all Special Issue submissions follow MDPI's standard editorial process. The journal’s Editor-in-Chief and/or designated Editorial Board Member will oversee Guest Editor appointments and Special Issue proposals, checking their content for relevance and ensuring the suitability of the material for the journal. The papers published in a Special Issue will be collected and displayed on a dedicated page of the journal’s website. Further information on MDPI's Special Issue policies and Guest Editor responsibilities can be found here. For any inquiries related to a Special Issue, please contact the Editorial Office.

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Computational Methods and Models in the Financial Risk Management Process
edited by
submission deadline 30 Jun 2026 | 3 articles | Viewed by 3125 | Submission Open
Keywords: machine learning; risk management; data analytics
Empirical Advances in Corporate Finance and Governance Under Emerging Risks and Strategic Challenges submission deadline 30 Jun 2026 | Viewed by 66 | Submission Open
Keywords: corporate finance; corporate governance; systemic risk; ESG disclosure; capital structure; shareholder activism; risk management; digital transformation; sustainability regulation; emerging markets
Longevity and Morbidity Risks: Emerging Technologies and Perspectives submission deadline 31 Jul 2026 | Viewed by 84 | Submission Open
Keywords: longevity risk; mortality modeling; gender mortality gap; forecasting; health transitions; life insurance
New Trends in Asset Pricing, Market Microstructure, and Risk Management
edited by
submission deadline 31 Jul 2026 | Viewed by 80 | Submission Open
Keywords: asset pricing; market microstructure; risk management; FinTech; cryptocurrencies; financial contagion; behavioral finance; information asymmetry; high-frequency trading; volatility; artificial intelligence (AI); liquidity risk; derivatives
Sectoral and Institutional Heterogeneity in Corporate Finance, Corporate Governance and Risk Management
edited by Gianluca Gucciardi and Massimo Ruberti
submission deadline 31 Dec 2026 | Viewed by 123 | Submission Open
Keywords: risk management; corporate finance; corporate governance; institutional contexts; institutional heterogeneity; sectoral heterogeneity
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