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Risk Governance & Control: Financial Markets & Institutions: a call for papers

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We would like to draw attention of the experts in theoretical and empirical studies in risk governance and control with application to financial markets and institutions that international peer-reviewed journal Risk Governance and Control: financial markets and institutions announces a call for papers for the issues of the journal in the second half of 2017.

Important dates:

  • It is expected that the journal issues will be published by October 1, 2017 and December 1, 2017.
  • The deadline for submissions is June 15, 2017.

We encourage empirical and conceptual papers in the following areas:

  • Risk governance and control in the private and public sectors;
  • Finance, financial pricing, financial management;
  • Economics of employee benefits, pension plans;
  • Insurance and insurance regulation;
  • Asymmetric information, moral hazard, and adverse selection;
  • Econometric, actuarial, and statistical methodology;
  • Stock market development and risks;
  • Currency market development and risks;
  • Market for banks development and risks;
  • Financial management and innovations;
  • Risk capital allocation and risk budgeting;
  • Impact of risk measurement on portfolio allocation;
  • Theoretical development of alternative risk measures;
  • Hedging (linear and non-linear) under alternative risk measures;
  • Credit risk and its valuation;
  • Business risks;
  • Financial markets.

For instructions for the authors see this page.

Papers must be written in English. Submit a paper to the editor by e-mail: and a copy to the editorial assistant at k.huryna[at]

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