Affirm Journal of Financial Risk Management

Affirm Journal of Financial Risk Management is an international and peer-reviewed journal with an intercontinental advisory board. The journal documents the professional’s interest in any areas that connect to financial risk management. The focus of the journal is on theories and practice in risk management processes, capital structure and credit-arbitrage methods, investing in various financial markets and instruments, operational, and business risk, risk modelling, and other issues relating to the effective management of financial. The editorial board of the Affirm Journal of Financial Risk Management invites authors to submit original papers, empirical studies, case studies and review papers to the journal. At Affirm Journal of Financial Risk Management, we expect the authors to abide Principles of Transparency and Best Practice in Scholarly Publishing suggested by The Committee on Publication Ethics (COPE), the Directory of Open Access Journals (DOAJ), the Open Access Scholarly Publishers Association (OASPA), and Scopus.

Scope and Focus

Alternative Risk-Transfer Mechanisms
Capital Structure and Credit-Arbitrage Methods
Commercial Insurance and Reinsurance
Derivatives and Structured Financial Products
Financial Market Regulation
Investing in Various Financial Markets and Instruments
Other Issues Relating to the Effective Management of Financial, Operational, and Business Risk
Risk and Performance Management and Measurement
Risk Management Processes
Risk Modelling
Risk Securitization

Editor in chief

Dr. Loghman

Abstracting and Indexing

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