Aims and Scope
Journal of Risk & Control invites submissions of original research articles in all areas of finance, including financial markets, portfolio choice, asset pricing, corporate finance, alternative investments and risk management. The journal’s cross-disciplinary coverage and applied focus shifts risk and contingency management away from pure financial coverage to all aspects of economic uncertainties. Academicians and researchers benefit by gaining insights from the research in this journal concerning how risk is measured and mitigated against across different disciplines, industries, and sectors.
Special Issue 2021: The Effects of Covid-19 to the Global Economy
Journal of Risk & Control invites submissions from researchers on the broader topic of the short and long term effects of Covid-19 (Novel Coronavirus) to the global economy. A series of dedicated Special Issues will be published within 2021.
The themes of the Special Issues are (but not limited to) the following:
- Short and long term effects to finance and banking systems
- Short and long term effects to food chains and food production
- Effects to the supply of commodities
- Changes of employment legislation and associated risks
- Effects to international commercial relations and dependencies
- Long and short term effects to the Chinese economy
- Short and long term effects to Asia, Oceania, Europe, Middle East, Africa and the Americas
- Control and containment of the virus effects in monetary systems
- Effects to the global agricultural economy
- Assesment of the virus risk in finance systems
- Risk control of virus implications in the global construction industry
- Risk transfer between monetary systems of European Union and China
- Risk transfer between monetary systems of Asia Pacific and China
- Risk containment practices in long term investments and pension funds
- The role of governance in virus containment and risk mitigation
- Intelligent banking systems for mitigation of virus risk
- Ethics issues in affected economies
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