International Journal of Applied Marketing and Management . … 00221090: Journal of Financial and Quantitative Analysis 00219436 : Journal of Business Communication 00950696 : Journal of Environmental Economics and Management Publisher country is Switzerland. Recent advances in techniques used to model operational risk… 54. International Journal of Management Reviews |Impact Factor=2.333. The mission of the International Journal of Business Science and Applied Management is to enhance the dissemination of knowledge across the business and management community. It covers all aspects of financial services management worldwide, dealing with current practices as well as future prospects and … The Journal of Financial Regulation and Compliance is situated at the intersection of academic research and the practice of financial regulation. 11.999 Q1. The journal serves as a bridge between innovative … Please let us know what you think of our products and services. 360. can you suggest some portfolio management journal (scopus) to publish a research paper in 2 months. International Journal of Accounting Finance & Risk Management (IJAFRM) publishes good quality research papers in the areas of accounting, finance, risk management and their interfaces. This page provides information about Prof. R. K. Sharma, who is the Editor of International Journal of Research in Commerce and Management (ISSN 0976-2183). The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial … Journal description. Displaying special issue 1-50 on page 1 of 3. All MDPI journals are archived with the Swiss National Library. … Journal of Financial Risk Management Vol.9 No.3, September 29, 2020 Please let us know what you think of our products and services. It provides an authoritative and scholarly platform for international research in financial regulation and compliance . Each volume of Journal of Risk Management in Financial Institutions consists of four quarterly 100-page issues, published both in print and online. Among the topics covered in the journal are decision theory and the economics of uncertainty, psychological models of choice … are emphasized. ... Scopus indexing systems. 1-16 May McMaster, Charlie Nettleton, Christeen … As the only publication devoted exclusively to theoretical and empirical studies in financial risk management, The Journal of Risk promotes far-reaching research on the latest innovations in this … Guest Editors who are experts in the subject and oversee the editorial process for papers. Financial crises, predatory practices, internationalization and integration, the increased use of technology and … ISSN:1752-8887E-ISSN:1752-8895@ Cite. This journal has partnered with Heliyon Business and Economics, a dedicated section of Heliyon, an open access journal from Cell Press that publishes scientifically accurate and valuable research in Business and Economics. MDPI stays neutral with regard to jurisdictional claims in published maps and institutional affiliations. Articles, including review articles, empirical and conceptual, which display thoughtful, accurate research and be rigorous in all regards, … The Journal of Risk and Uncertainty is a bimonthly peer-reviewed academic journal covering the study of risk analysis and decision-making under uncertainty. Journal description. Category: Accounting and Finance. 148. International Journal of Health Planning and Management, 30(1), 145-163. The Journal of Economic and Financial Sciences (JEF) publishes theoretical and emprical research in the field of Economic and Financial Sciences.Manuscripts published in JEF fall mostly in the areas of auditing, corporate finance, corporate governance, economics, econometrics, financial accounting, financial planning, investment management, management accounting and taxation in the emerging … Complexity characterizes today’s public sector accounting and management, and understanding that complexity is the key underpinning of this special issue. Journal of Risk Finance Issue(s) available: 99 – From Volume: 1 Issue: 1, to Volume: 21 Issue: 4. (2015). Publishing with this journal. The goal of this journal is to provide a platform for scientists and academicians all over the world to promote, share, and discuss various new issues and developments in all areas of financial risk management. Risk management Related Journals of Risk management Stock & Forex Trading, Business & Financial Affairs, Business and Economics Journal,The Journal of Internet Banking and Commerce, Global Economics, International Journal of Risk Assessment and Management, Journal of Risk Management in Financial Institutions, Journal of Financial Risk Management, The International Journal of Risk … Each quarter Risk Journals contain peer-reviewed research and technical papers, delivered to a global audience in print and online. 6.79. IJFSM publishes high quality original research papers and, when appropriate, literature surveys. We use cookies on our website to ensure you get the best experience. Sumaira Ashraf 1,2, *, Elisabete G. S. F é lix 1,2 and Z é lia Serrasqueiro 2,3 1 Management Department, University of É vora, Largo dos Colegiais, nº 2, 7000-803 É vora, Portugal; [email protected] 2 CEFAGE Research Center, University of É vora, 7000-812 É … Journal of Risk Finance - Volume 1 Issue 1 to Volume 21 Issue 4. Aims & scope. Heliyon Business and Economics aims to make it easier for authors to share their research with a global audience quickly and easily, while benefitting from the subject-area expertise of … Since October 2013, it is published quarterly and online by MDPI. The Journal of Risk and Uncertainty features both theoretical and empirical papers that analyze risk-bearing behavior and decision-making under uncertainty. of authors and readers to discuss the latest research and develop new ideas and research directions. 1,2. You seem to have javascript disabled. International Journal of Emerging Trends in Science and Technology. Forward-looking financial risk management and the housing market in the United Kingdom: is there a role for sentiment indicators? 357. Please note that many of the page functionalities won't work as expected without javascript enabled. 1-16 Jaime Marquez and Silvia Merler Risk Management: Rethinking Fashion Supply Chain Management for Multinational Corporations in Light of the COVID-19 Outbreak pp. Issue 3 … Strategic Management Journal|Impact Factor=7.909. Research that you might want to contribute to the Journal of Risk Research could explore: The Inter-relationships between risk… The journal charges 1000 CHF as … Foreign Direct Investment – Under the Sign of Profit or Sustainable Development? Find support for a specific problem on the support section of our website. 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