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Volume 4 / Number 3 / Summer 2011 - Journal of Risk Management in Financial Institutions

First Published December 2007 Latest Issue March 2024

Journal of Risk Management in Financial Institutions is the leading professional and research journal for all those concerned with the management of risk at retail and investment banks, investment managers, broker-dealers, hedge funds, exchanges, central banks, financial regulators and depositories, as well as service providers, advisers, researchers and academics.... read more

Subjects covered include: Risk management; market risk; financial risk; credit risk; operational risk; portfolio strategy and management; risk modelling; liquidity risk; stress testing; commercial lending; compliance and auditing; quantitative risk; interest rate risk; trading risk; treasury and finance; risk analysis; banking supervision and financial regulation.

Volume 4 / Number 3 / Summer 2011

Editorial

Brigo, Damiano; D'Ecclesia, Rita L.

Practice paper

Di Giorgio, Giorgio; Rotondi, Zeno

Case study

Brigo, Damiano; Pallavicini, Andrea; Torresetti, Roberto

Research paper

Fraenkle, Jan; Rachev, Svetlozar (Zari); Scherrer, Christian

Practice paper

Schiller, Frank; Lepschi, Susanne

Research paper

Geman, Hélyette; Kharoubi-Rakotomalala, Cécile

Practice paper

Bencivenga, Cristina; Sargenti, Giulia; D'Ecclesia, Rita