Review Papers for Journal of Risk and Financial Management (JRFM)

The Journal of Risk and Financial Management (JRFM) was inaugurated in 2008 and has successfully continued publishing, with Volume 13 in 2020. Since the journal was established, JRFM has published in excess of 580 topical and interesting theoretical and empirical papers in financial economics, finan...

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Bibliographic Details
Other Authors: McAleer, Michael (Editor)
Format: Book Chapter
Published: Basel, Switzerland MDPI - Multidisciplinary Digital Publishing Institute 2020
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Online Access:Get Fullteks
DOAB: description of the publication
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100 1 |a McAleer, Michael  |4 edt 
700 1 |a McAleer, Michael  |4 oth 
245 1 0 |a Review Papers for Journal of Risk and Financial Management (JRFM) 
260 |a Basel, Switzerland  |b MDPI - Multidisciplinary Digital Publishing Institute  |c 2020 
300 |a 1 electronic resource (206 p.) 
506 0 |a Open Access  |2 star  |f Unrestricted online access 
520 |a The Journal of Risk and Financial Management (JRFM) was inaugurated in 2008 and has successfully continued publishing, with Volume 13 in 2020. Since the journal was established, JRFM has published in excess of 580 topical and interesting theoretical and empirical papers in financial economics, financial econometrics, banking, finance, mathematical finance, statistical finance, accounting, decision sciences, information management, tourism economics and finance, international rankings of journals in financial economics, and bibliometric rankings of journals in cognate disciplines. Papers published in the journal range from novel technical and theoretical papers to innovative empirical contributions. The journal wishes to encourage critical review papers on topical subjects in any of the topics mentioned above in financial economics and in cognate disciplines. 
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546 |a English 
650 7 |a Technology: general issues  |2 bicssc 
653 |a big data 
653 |a computational science 
653 |a economics 
653 |a finance 
653 |a management 
653 |a theoretical models 
653 |a econometric and statistical models 
653 |a applications 
653 |a n/a 
653 |a bank regulation 
653 |a capital adequacy standards 
653 |a regulatory complexity 
653 |a US banking crises 
653 |a supply chain management 
653 |a supply chain finance 
653 |a working capital 
653 |a factors 
653 |a outcomes 
653 |a solutions 
653 |a optimisation 
653 |a portfolio selection 
653 |a risk measure 
653 |a fat tail 
653 |a Copula 
653 |a shrinkage 
653 |a semi-variance 
653 |a CVaR 
653 |a excess returns 
653 |a efficient market hypothesis 
653 |a data snooping 
653 |a investment and capital markets 
653 |a market efficiency 
653 |a price-volume 
653 |a adaptive market hypothesis 
653 |a time-varying or adaptive market efficiency 
653 |a cross section of country equity returns 
653 |a country-level stock market anomalies 
653 |a empirical asset pricing 
653 |a international equity markets 
653 |a return predictability 
653 |a bank regulatory capital requirements 
653 |a marketing 
653 |a psychology 
653 |a price-volume relationship 
653 |a adaptive market efficiency 
653 |a covariance matrix estimation 
653 |a portfolio risk measurement 
653 |a stock investment 
653 |a country equity returns 
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856 4 0 |a www.oapen.org  |u https://directory.doabooks.org/handle/20.500.12854/69192  |7 0  |z DOAB: description of the publication