International peer-reviewed open access journal on finance, economics and risk published online by MDPI
Journal of Risk and Financial Management is a leading international peer-reviewed open access journal dedicated to publishing cutting-edge research in finance, economics, and risk management. Published online, the Journal of Risk and Financial Management serves as a vital platform for academics, researchers, and professionals to share insights and advancements in these critical fields.
The journal's broad scope encompasses a wide array of topics, including banking and finance, mathematics and finance, economics and finance, risk, sustainability and finance, financial markets, financial technology and innovation, business and entrepreneurship, tourism economics, finance and management, and energy and environment economics, finance, and policy. Journal of Risk and Financial Management offers comprehensive coverage of the latest developments and trends shaping the global financial landscape. The primary address of Journal of Risk and Financial Management is Sankt-Alban Anlage 66, Basel, 4052, CH.
With its commitment to open access, Journal of Risk and Financial Management ensures that valuable research is readily available to a global audience, fostering collaboration and knowledge dissemination. We invite the manager of Journal of Risk and Financial Management to create a customized and exclusive company showcase and product listing on our platform, highlighting your contributions to the field.
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