The IUP Journal of Financial Risk Management

ISSN :0972-916X

A "peer-reviewed" journal included in EBSCO and ProQuest (Part of Clarivate) Database

It is a quarterly journal that focuses on identifying Financial risk in Capital/Debt/Forex markets and their management models, Derivatives as Price Discovery Tools and Hedging devices, Hedging techniques, Asset-liability management, Organizational culture, Risk-bearing capacity and Leadership role in management of risk. The journal provides a platform for cutting-edge research in the field of financial risk management.

Focus Areas

  • Identifying Financial Risk   |
  • Risk Management Models   |
  • Accounting for Derivatives   |
  • Risk-Hedging Techniques   |
  • Asset Liability Management   |
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