Theoretical Economics Letters

ISSN Print: 2162-2078    ISSN Online: 2162-2086

Call For Papers

    Special Issue on Financial Risk Analysis and Management


    Financial risk is any of various types of risk associated with financing, including financial transactions that include company loans in risk of default.


    In this special issue, we intend to invite front-line researchers and authors to submit original research and review articles on Financial Risk Analysis and Management. Potential topics include, but are not limited to:

    • Financial stability and financial crisis
    • Market risk analysis
    • Risk and insurance
    • Investment, debt and risk
    • Credit risk assessment
    • Risks in business and firm performance
    • Banking and risk management
    • Monetary policy
    • Portfolio optimization and risk model
    • Liquidity risk

    Authors should read over the journal’s For Authors carefully before submission. Prospective authors should submit an electronic copy of their complete manuscript through the journal’s Paper Submission System.


    Please kindly notice that the “Special Issue” under your manuscript title is supposed to be specified and the research field “Special Issue – Financial Risk Analysis and Management” should be chosen during your submission.


    According to the following timetable:


    Submission Deadline

    September 18th, 2019

    Publication Date

    November 2019


    For publishing inquiries, please feel free to contact the Editorial Assistant at submission.entrance1@scirp.org


    TEL Editorial Office

    tel@scirp.org