All journals title listing
 
 

 

Journal of Risk Management in Financial Institutions

Journal of Risk Management in Financial Institutions is guided by an eminent international Editorial Board of leading practitioners and academics. 

  • Dr David Bobker, Director, Real Assurance Risk Management, UK
  • Francis Breedon, Imperial College Business School, UK
  • Joshua Cohn, Partner, Allen & Overy, USA
  • Professor Michael Dempster, Director, Centre for Financial Research, Judge Business School, University of Cambridge, UK
  • Professor Francis X. Diebold, W.P. Carey Professor of Economics, Professor of Finance and Statistics, Wharton School, University of Pennsylvania, USA
  • Dr Helmut Elsinger, Austrian Central Bank, Austria
  • John Fell, Head of Financial Stability Division, European Central Bank, Germany
  • Dr Greg N Gregoriou, Professor of Finance, School of Business and Economics, State University of New York (Plattsburgh), USA
  • Allan D. Grody, President, Financial InterGroup, USA
  • Professor John C. Hull, Professor of Finance, Director, Centre for Finance and Maple Financial Group Chair in Derivatives and Risk Management, Joseph L. Rotman School of Management, University of Toronto, Canada
  • Professor Robert A Jarrow, Professor of Finance and Economics, Johnson Graduate School of Management, Cornell University, USA
  • David R. Koenig Chief Executive Officer, The Governance Fund, LLC
  • Professor Krzysztof Jajuga, Professor of Economics and Finance, Wroclaw University of Economics, Poland
  • Christian Kronseder, Managing Partner, CAK Finance, Switzerland
  • Paul Kupiec, Co-director, Center for Financial Research, FDIC, USA
  • Dr Jose A. Lopez, Senior Economist, Federal Reserve Bank of San Francisco, USA
  • Dr Robert M. Mark, Chief Executive Officer, Black Diamond, USA
  • Edmond Moriarty, Managing Director and Head of Global Credit & Commitments,  Merrill Lynch, USA
  • Dr Michael K. Ong, Professor of Finance, Stuart School of Business, USA
  • Dr Christian S. Pedersen, Director, Finance & Risk, Mercer Oliver Wyman, UK
  • Dr Riccardo Rebonato, Global Head of Market Risk, GBM, Royal Bank of Scotland, Global Head of Research, Royal Bank of Scotland, UK
  • Dr Dan Rosen, Visiting Fellow, Fields Institute for Research, Canada
  • Daryl Roxburgh, BITA Risk Solutions, UK
  • Anurag Saksena, Chief Enterprise Risk Officer, Freddie Mac, USA
  • Dr Steven Satchell, Reader in Financial Econometrics, University of Cambridge, UK
  • Dr Til Schuermann, Research Officer, Banking Studies Function, Federal Reserve Bank of New York, USA
  • Prof. Luis A. Seco, Department of Mathematics, University of Toronto, Director of RiskLab Toronto and President and CEO of Sigma Analysis & Management Ltd. USA
  • David Strachan, Director - Major Retail Groups Division and Financial Stability Sector Leader, Financial Services Authority, UK
  • Gustavo A. Torres G., Controller, Petrolera Ameriven, Venezuela
  • Dr Stan Uryasev, Director of Risk Management and Financial Engineering (RMFE) Lab, University of Florida, USA
  • Timothy S Wilson, Chief Risk Officer, Caxton Associates, USA
  • Thomas C. Wilson, Chief Risk Officer, Allianz SE
  • Richard Wise, Managing Director, Institutional Equities Chief Risk Officer, JP Morgan ChaseUSA

 

ISSN 1752-8887 (Print)

1752-8895
(Online)

Launch Date: October 2007


print


recommend


privacy

 

     
copyright © 2006 Henry Stewart Publications LLP
top of page
    Henry Stewart Publications, Russell House, 28/30 Little Russell Street, London WC1A 2HN, UK
Tel: +44 20 7404 3040 Fax: +44 20 7404 2081