Risk Management

短名Risk Manag.
Journal Impact1.93
国际分区SOCIAL SCIENCES, INTERDISCIPLINARY(Q2)
期刊索引SCI Q2中科院 3 区
ISSN1460-3799, 1743-4637
h-index23
国内分区经济学(3区)经济学社会科学跨领域(3区)

The aim of Risk Management (RM) is to bridge the gap between academia and industry (practice) by quantitatively addressing risk management issues of high relevance and importance to industry (practitioners), with academic rigor. The journal's target audience are practitioners, regulators, academics, as well as those predominantly interested in the quantitative perspective on the most recent issues, advances and practices in the field of risk management.   RM is mostly focused on the topics related to financial risk management (financial risks), but is also open to publishing research related to other types of risks at the corporate, institutional, and/or regulatory level that are perceived to be important and interconnected (for example, various operational risks). In terms of institutional focus, RM welcomes research related to banks and insurance companies, asset management companies, and/or non-financial corporations.   The journal seeks analytically rigorous and sound academic contributions in the form of original research papers, review papers and invited papers.

期刊主页投稿网址
涉及主题业务经济管理财务计算机科学风险管理医学计算机安全政治学风险分析(工程)法学应急计划营销生物工程类数学客户关怀哲学精算学心理学地理社会学物理统计
出版信息出版商: Palgrave Macmillan Ltd.出版周期: 4 issues per year期刊类型: journal
基本数据创刊年份: 2009原创研究文献占比100.00%自引率:5.60%Gold OA占比: 15.52%

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