The Journal of Risk and Financial Management (JRFM) provides a platform for scholarly research on topics related to risk assessment, financial management, and corporate governance. JRFM aims to publish high-quality articles that enhance the understanding of financial markets and risk management strategies.
Key areas covered include financial economics, investment analysis, portfolio management, risk modeling, and corporate finance. The journal targets researchers, academics, and practitioners in finance, economics, and related fields. It is indexed in Scopus and Web of Science, providing wide visibility to published articles.
By publishing cutting-edge research, JRFM helps inform investment decisions and improve risk management practices. Share your expertise to advance knowledge in the field. Explore the journal's guidelines on its website, and consider open access.