The Journal of Risk Management in Financial Institutions (JRMFI), which is the formal journal of the Professional Risk Managers’ International Association (PRMIA), has recently issued a call for papers on the role (or otherwise) for Behavioural Finance in Risk Management and Regulation, or to put it in more simple terms, the need, or otherwise, to understand people risk better and whether (and how) Operational Risk professionals should get more involved in the softer issues of risk. The Journal is looking for different perspectives from either practitioners or academics.

The deadline for the submission of articles is 16th September 2013 and a guide for authors, sample papers and other relevant information for submitting papers are available via the following link: http://www.henrystewartpublications.com/jrm/behaviouralfinance

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