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Journal of Financial Risk Management
Submission
Journal of Financial Risk Management
ISSN Print:
2167-9533
ISSN Online:
2167-9541
www.scirp.net/journal/jfrm
E-mail:
[email protected]
Google-based Impact Factor:
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Proposal for an Implementation Methodology of Key Risk Indicators System: Case of Investment Management Process in Moroccan Asset Management Company
()
Hajar Mouatassim
,
Abdelmajid Ibenrissoul
Journal of Financial Risk Management
Vol.4 No.3
, September 30, 2015
DOI:
10.4236/jfrm.2015.43015
7,857
Downloads
11,623
Views
Citations
This article belongs to the Special Issue on
Predicting Conditional Autoregressive Value-at-Risk for Stock Markets during Tranquil and Turbulent Periods
()
Anastassios A. Drakos
,
Georgios P. Kouretas
,
Leonidas Zarangas
Journal of Financial Risk Management
Vol.4 No.3
, September 30, 2015
DOI:
10.4236/jfrm.2015.43014
5,275
Downloads
8,091
Views
Citations
This article belongs to the Special Issue on
Financial Risk Measurement for Turkish Insurance Companies Using VaR Models
()
Ismail Yildirim
Journal of Financial Risk Management
Vol.4 No.3
, September 30, 2015
DOI:
10.4236/jfrm.2015.43013
7,936
Downloads
10,890
Views
Citations
This article belongs to the Special Issue on
Managers’ Perception towards Dividends and Dividend Policy—Evidence from Bangladesh
()
Muhammad Mahbubur Rahman
Journal of Financial Risk Management
Vol.4 No.3
, September 9, 2015
DOI:
10.4236/jfrm.2015.43012
8,807
Downloads
12,562
Views
Citations
This article belongs to the Special Issue on
Operational Risk Modelling in Insurance and Banking
()
Ognjen Vukovic
Journal of Financial Risk Management
Vol.4 No.3
, September 1, 2015
DOI:
10.4236/jfrm.2015.43010
5,656
Downloads
9,917
Views
Citations
This article belongs to the Special Issue on
Do Pre-Sale and Post-Sale Foreclosure Statutes Impact Foreclosure Starts?
()
Russell Price
,
Debby Lindsey-Taliefero
,
Lynne Kelly
,
William Brent
Journal of Financial Risk Management
Vol.4 No.2
, June 16, 2015
DOI:
10.4236/jfrm.2015.42008
4,616
Downloads
6,271
Views
Citations
This article belongs to the Special Issue on
A Comparative Study of Mean-Variance and Mean Gini Portfolio Selection Using VaR and CVaR
()
Jamal Agouram
,
Ghizlane Lakhnati
Journal of Financial Risk Management
Vol.4 No.2
, May 25, 2015
DOI:
10.4236/jfrm.2015.42007
5,396
Downloads
7,817
Views
Citations
This article belongs to the Special Issue on
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