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The Journal of Risk and Financial Management (ISSN 1911-8074) is an open access journal that publishes the leading research on finance, economics and risk. The journal publishes reviews, regular research papers, and short communications, as well as Special Issues on particular subjects.
16 Αυγ 2016 · Principles and methods were developed for how to conceptualise, assess and manage risk. These principles and methods still represent to a large extent the foundation of this field today, but many advances have been made, linked to both the theoretical platform and practical models and procedures.
The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial risks and risk management.
The Journal Impact Factor is published each year by Clarivate Analytics. It is a measure of the number of times an average paper in a particular journal is cited during the preceding two years. For more information and methodology see Clarivate Analytics
1 Ιαν 2015 · The present paper presents three methods for risk assessment in financial auditing: ARM, Bayes’ theorem and belief function, managing to conclude that for adapting to the technology that it is in constantly change, computer-assisted audit techniques are becoming slowly –slowly a necessary evolution.
7 Σεπ 2023 · Risk management techniques are important metrics in safeguarding the lives and property of mankind. Therefore, this study aimed to assess the effects of financial risk management techniques...
28 Απρ 2021 · Relationships between assets, processes, threats, vulnerabilities and other factors are analyzed in the risk assessment approach. There are many methods available, but quantitative and qualitative analysis are the most widely known and used classifications.