Risk Governance and Control: Financial Markets and Institutions

10.22495/rgc ◽  
2021 ◽  
Author(s):  
Marco Venuti

The third issue of the journal Risk Governance and Control: Financial Markets and Institutions provides contributions to the exploration of subjects related to public and private finance and the functioning and investment techniques of financial markets. These are all topical issues that may give rise to further research in order to understand better how countries, markets and companies are facing the challenges due to the Covid-19.


Author(s):  
Elizaveta Kravchenko

The recent issue of the journal Risk Governance and Control: Financial Markets & Institutions is devoted to the issues of risk measurement, microinsurance, low-income markets, risk management practices, audit fees, etc.


Author(s):  
Ivo Pezzuto

The fourth issue of the Risk Governance and Control: Financial Markets & Institutions journal (volume 10, issue 4) explores a number of stimulating subjects related to the future of finance, banking, and financial systems such as the impact of big banks’ digitalization and mergers and acquisitions (M&A) strategies on the sustainability of local banks’ business models and on their relationship with the territory; the factors affecting portfolio investment decisions in the emerging markets, or central banks’ mission to assure stability to the purchasing power of their currencies.


Author(s):  
Giorgia Mattei

In the first issue of the journal Risk Governance and Control: Financial Markets & Institutions in 2021 contributions are published that studied industries that provide finance from a different point of view and papers related to human capital with various declensions.


Author(s):  
Adam Samborski

The issues of proper formation of institutions are extremely important both at the level of the economy and at the level of individual organizations. These problems are addressed in the papers published in the current issue of the journal „Risk Governance and Control: Financial Markets & Institutions” (volume 11, issue 3).


Author(s):  
Yulia Lapina

The recent issue of the journal Risk Governance and Control: Financial Markets & Institutions is devoted to the issues of fixed investments, risk management practices, inflation uncertainty, budgetary discipline, debtor’s right etc.


Author(s):  
Mireille Chidiac El Hajj ◽  
Giorgia Mattei

The Journal's aim is to publish high quality, rigorous and original research papers concerning broad areas of risk governance. Its areas of interest include but are not limited to financial markets and institutions, risk management, economics, econometrics and finance economics, econometrics finance, market risk, credit risk, investment risk, liquidity risk, equity risk, etc.


Author(s):  
Jakob de Haan ◽  
Sander Oosterloo ◽  
Dirk Schoenmaker

Author(s):  
Jakob de Haan ◽  
Sander Oosterloo ◽  
Dirk Schoenmaker

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