Special Issue on Financial, Operational, and
Business Risk
The financial risk analytics covers
analytical techniques involved in risk and investment management. The financial
risks include pricing, valuation hedging, and risk analytics across various
assets, as well as the credit risk, market risk, regulatory risk capital, and
advisory valuation adjustment. Operational and business risk can be internal
(such as our strategy) or external (such as the global economy), which can be
to any event or circumstance that has the potential to prevent us from
achieving the business goals or objectives. The goal of this special issue is
to provide a platform for scientists and academicians all over the world to
promote, share, and discuss various new issues and developments in the area of Financial,
Operational, and Business Risk.
In this
special issue, we intend to invite front-line researchers and authors to submit
original research and review articles on exploring Financial,
Operational, and Business Risk. Potential topics include, but are not limited
to:
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Asset management
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Bankruptcy prediction
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Cash management
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Compliance and regulatory risk
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Currency risk in emerging market
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Debt management
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Financial planning
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Financial risk
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Foreign exchange risk
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Fund management
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Investment and risk
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Market risk management
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Mortgage
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Operational risk
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Strategic 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 specify the “Special Issue” under your manuscript title. The
research field “Special Issue - Financial, Operational, and Business Risk”
should be selected during your submission.
Special Issue Timetable:
Submission Deadline
|
July 28th, 2022
|
Publication Date
|
September 2022
|
Guest
Editor:
For further questions or inquiries, please
contact Editorial Assistant at jfrm@scirp.org.