
Edited By Stanislav Uryasev
Widely regarded as the single most authoritative forum of research into financial risk management, The Journal of Risk publishes the latest cutting edge technical papers written by leading academics in the field and peer-reviewed by a distinguished editorial board. It provides detailed insight into the practical applications of numerical and computational techniques in the pricing, hedging and risk management of financial instruments.
Book Size: 170mm x 245mm
Pages: Various
ISSN: 1465-1211 (Print) and 1755-2842 (Online)
Binding: Paperback Journal
*For the subscription rate above you will receive 4 quarterly hard-copy issues of the journal plus online access to our full archive library of research papers. Individual papers are available on a pay-per-view basis from the past papers archive at www.journalofrisk.com
Discounts are available for recognised academic institutions, click here for more information.
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Editor-in-Chief:
Stanislav UryasevUniversity of Florida
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Associate Editors: Carlo Acerbi Abaxbank Farid AitSahlia University of Florida Turan G. Bali Baruch College, City University of New York Jeremy Berkowitz University of Houston Jacob Boudoukh New York University and Interdisciplinary Center Peter Carr Bloomberg LP, New York University Peter Christoffersen McGill University Jon Danielsson London School of Economics Robert F. Engle New York University John Hull University of Toronto Robert Jarrow Cornell University Paul H Kupiec Federal Deposit Insurance Corporation François Longin ESSEC Elisa Luciano University of Torino & Fondazione Collegio Alexander J. McNeil ETH Zurich Riccardo Rebonato Royal Bank of Scotland Til Schuermann Federal Reserve Bank of New York René M. Stulz Ohio State University Neil D. Pearson University of Illinois at Urbana-Champaign Casper G. de Vries Erasmus University Rotterdam & Tinbergen Institute
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