Special issue: boards of directors and risk : the governance of risk-taking and the embrace of a dynamic future |
2024 |
volume 17, number 2 (Spring 2024) |
Special issue: the value of new data and technology to risk management practitioners |
20232024 |
volume 17, number 1 (winter 2023) |
Special issue: advances in ESG : integration, risk management and tematic investing |
2022 |
volume 15, number 1 (2021/2022) |
Special issue: impact of COVID-19 on risk management in financial institutions |
2021 |
volume 14, number 1 (2020/21) |
Special issue on enterprise risk management |
2019 |
volume 12, number 4 (2019) |
Special issue: country risk |
2017 |
volume 10, number 1 (winter 2016-17) |
Special issue: asset and liability management in risk management |
2016 |
volume 9, number 4 (autumn/fall 2016) |
Special issue: Stress testing |
2014 |
7.2013/14,1 |
Special issue: Behavioural finance : is there a role for behavioural finance in risk management and banking regulation? |
2014 |
7.2014,2 |
Special issue: Systemic connectedness : measuring and managing couterparty risk |
2012 |
5.2011/12,3 |
Special issue: Risk governance |
2012 |
5.2011/12,2 |
Special issue: Risk management and the financial crisis |
2011 |
4.2010/11,3 |
Special issue: Blind spots in risk management |
2008 |
1.2007/08,4 |