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

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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