Risk and Financial Management (RFM)
Risk and Financial Management (RFM) is an international, double-blind peer-reviewed, open-access journal, published by the IDEAS SPREAD INC. It publishes high-quality articles covering both traditional fields of business administration and cross-functional, multidisciplinary research that reflects the complex character of business problems.
Aims & Scope
Risk and Financial Management (RFM) is an international, double-blind peer-reviewed, open-access journal, published by the IDEAS SPREAD INC. It publishes high-quality articles covering both traditional fields of business administration and cross-functional, multidisciplinary research that reflects the complex character of business problems.
Aims
- To provide an international, double-blind peer-reviewed, open-access platform for researchers and professionals to share high-quality research in risk management, finance, and business administration.
- To foster cross-functional, multidisciplinary research that reflects the complex character of modern business problems.
- To promote rigorous inquiry and practical insights that advance both theoretical understanding and real-world practice in risk and financial management.
- To encourage the exchange of innovative ideas and solutions to address contemporary challenges in business and finance.
Scope
The journal covers a wide range of topics related to risk and financial management, including but not limited to:
Risk Management and Financial Analysis
- Financial risk management, including credit risk, market risk, operational risk, and risk modeling
Corporate finance and investment analysis, including capital budgeting, portfolio management, and financial markets
- Financial modeling and quantitative analysis, including risk metrics, econometric methods, and financial forecasting
- Risk governance and compliance, including regulatory frameworks, internal controls, and risk management systems
Multidisciplinary Business and Cross-Functional Research
- Strategic risk and business management, including enterprise risk management, business continuity, and strategic planning
- Behavioral finance and organizational behavior, including investor psychology, financial decision-making, and corporate governance
- Financial innovation and emerging markets, including fintech, sustainable finance, and international financial markets
- Cross-functional business research, including the intersection of finance with operations, marketing, and information technology
Risk and Financial Management welcomes high-quality articles covering both traditional fields of business administration and cross-functional, multidisciplinary research that reflects the complex character of business problems. All submissions undergo a rigorous double-blind peer-review process to ensure academic rigor, originality, and practical relevance. As an open-access journal published by IDEAS SPREAD INC, RFM provides a platform for researchers and professionals to contribute innovative work that advances the understanding and practice of risk and financial management globally.