JOURNAL OF RISK MANAGEMENT IN FINANCIAL INSTITUTIONS

JOURNAL OF RISK MANAGEMENT IN FINANCIAL INSTITUTIONS

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Journal of Risk Management in Financial Institutions is the essential professional and research journal for all those concerned with the management of risk at retail and investment banks, investment managers, broker-dealers, hedge funds, exchanges, central banks, financial regulators and depositories.

 Guided by expert Editors and an eminent Editorial Board, each quarterly 100-page issue does not publish advertising but rather in-depth articles, reviews and applied research by leading professionals and researchers in the field on six key areas: strategic and business risk; financial risk; operational risk; regulatory and legal risks; systemic risk; and sovereign risk.

Journal of Risk Management in Financial Institutions is listed and indexed in Scopus and in Cabell's Economic and Finance Directory.

Have questions or need assistance?  Please contact us:

 Within the US/Canada:

Henry Stewart Publications LLP
North American Business Office
The Bleachery, 143 West Street
New Milford, CT 06776 USA  
Toll Free: (844) 232 3707 
Fax: (860) 350 0039
Rest of World:
Henry Stewart Publications LLP
Ruskin House, 40/41 Museum Street
London WC1A 1LT United Kingdom
Tel: +44 (0)20 7092 3465