| ISSN:1526−5943 | |
![]() | About the journal The Journal of Risk Finance publishes articles to bring together the buy-and-sell-sides of the risk management market. It creates an advice resource for corporate users of insurance and financial products, whilst supporting those institutions who supply them; discussing pricing, allocation and distribution. Risk Managers, academics and practitioners in financial positions will find this journal invaluable. |
| 雑誌概要 Journal of Risk Financeは、リスク管理市場おける売り手と買い手の双方を結ぶ記事を掲載しています。価格設定、配分、流通に関する意見交換など、保険および金融商品を提供する機関を支援する一方、それらの商品の企業顧客のためのアドバイスリソースとなっています。リスク管理責任者や金融財政の研究者や実務家にとって大変有益な雑誌です。 |
Editorial Objective The journal aims to provide a rigorous forum for the publication of theory and empirical work, from both academic and industry experts, in the areas of financial engineering, corporate risk management, traditional insurance/reinsurance, and alternative risk transfer. |
Editorial Criteria Submissions, which should display fine, accurate research and should be thorough in all regards, are most welcome on the following topics: ・Risk securitisation; ・Derivatives and structured financial products; ・Commercial insurance and reinsurance; ・Alternative risk transfer mechanisms; ・Capital structure/credit arbitrage methods; and ・Other issues relating to the effective management of financial, operational and business risk. |


