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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Financial Accounting and Risk Analysis
edited by Kevin Ow Yong and
submission deadline 20 Jan 2027 | Viewed by 334 | Submission Open
Keywords: earnings management and risk; financial statement analysis; balance sheet analysis; credit and liquidity risk; corporate governance and risk disclosure; market risk; operational risk
Risk-Based and Behavioral Approaches to Stock Market Investment
edited by
submission deadline 31 Jan 2027 | Viewed by 375 | Submission Open
Keywords: financial risk; financial markets; machine learning; stock market; investment strategies; stock selection criteria; macroeconomic environment; behavioral finance
Emerging Risks in Banking and Financial Systems
edited by Liping Lu
submission deadline 31 Jan 2027 | Viewed by 143 | Submission Open
Keywords: bank risks; financial stability; geopolitics; FinTech; AI; machine learning; climate risk; financial regulation
ESG and Business Risks
edited by
submission deadline 31 Jan 2027 | Viewed by 135 | Submission Open
Keywords: environmental; social; and governance (ESG); ESG risk assessment; corporate sustainability and risk; climate change risk; sustainable finance and investment; ESG disclosure and reporting; systemic risk and financial stability; enterprise risk management (ERM); climate transition risk; physical climate risk; green finance; sustainable banking; reputational risk; responsible investment; climate stress testing
Financial Markets, Risk Modelling and Econometrics
edited by , Izunna Anyikwa and Thobekile Qabhobho
submission deadline 15 Feb 2027 | Viewed by 82 | Submission Open
Keywords: financial markets; geopolitical risk; risk modelling; financial econometrics; systemic risk
Emerging Risks in Banking and Finance: Technological Disruption, Climate Change, and Geopolitical Tensions submission deadline 28 Feb 2027 | 3 articles | Viewed by 4666 | Submission Open
Keywords: climate change; credit risk; emerging risks; digitalization; banks
Financial Investment, Derivatives Hedging, and Risk Management
edited by and Mukesh Chaudhry
submission deadline 28 Feb 2027 | 3 articles | Viewed by 2282 | Submission Open
Keywords: financial risk management; hedging; derivatives; volatility; performance evaluation; optimization; active versus passive investment; Value-at-Risk (VaR); liquidity and efficiency
Climate Systemic Risk in Finance: Complexity, Dynamics, and New Methods
edited by
submission deadline 28 Feb 2027 | Viewed by 154 | Submission Open
Keywords: climate-related risks; financial stability; insurance resilience; systemic risk; transition risk; prudential regulation; network modeling; evolutionary macroeconomics; financial econometrics; climate stress-testing
Advances in Risk Management, Insurance and Actuarial Science
edited by and
submission deadline 28 Feb 2027 | Viewed by 100 | Submission Open
Keywords: risk management; insurance/reinsurance; actuarial science; probability theory; stochastic risk models; risk measures; predictive analytics; applied statistics; climate risk; cyber risk
Bank-Firm Relationships and Risk Management Across the Corporate Investment Process
edited by
submission deadline 15 Mar 2027 | Viewed by 99 | Submission Open
Keywords: bank-firm relationships; corporate investment; dynamic risk management; innovation risk; financial stability
Theoretical and Empirical Asset Pricing
edited by Kai Li
submission deadline 31 Mar 2027 | 1 articles | Viewed by 7784 | Submission Open
Keywords: asset pricing theories; portfolio selection; risk factors; market anomalies; asset pricing puzzles; behavioral finance; market efficiency
Volatility Modeling in Financial Market, 2nd Edition
edited by and Michal Wielechowski
submission deadline 31 Mar 2027 | Viewed by 13 | Submission Open
Keywords: financial market dynamics; market volatility forecasting; financial econometrics; turbulent times in financial markets; risk management strategies
Selected Papers from the 1st International Online Conference on Risks (IOCR 2026) submission deadline 30 Apr 2027 | Viewed by 22 | Submission Open
Keywords: insurance; actuarial science; statistical modelling; financial risk management; asset pricing; investment; emerging risks
Corporate Governance and Enterprise Risk Management
edited by Bin Chang
submission deadline 30 Jun 2027 | Viewed by 154 | Submission Open
Keywords: corporate governance; enterprise risk management; risk appetite; risk identification and assessment; risk culture; cognitive biases
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