Risk Management Magazine
AIFIRM · Italy · Est. 2008
Aims & Scope
The aim of RISK MANAGEMENT MAGAZINE 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 academics, practitioners, regulators, as well as those predominantly interested in the quantitative perspective on the most recent issues, advances and practices in the field of risk management. The journal seeks analytically rigorous and sound academic contributions in the form of original research papers, review papers and invited papers. It connects theory and practical application of risk management procedures; readership includes academics, practitioners and regulators. It covers risk management in financial industry (banks and asset management companies), as well as risk at non-financial corporations, institutional, and/or regulatory level.
General Information
Submission Info
Ethics & Quality
Think.Check.Submit Compliance
Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.
Subject Classification
Research Topics (OpenAlex)
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