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Journal of Risk Management in Financial Institutions

2007 - 2026

From Henry Stewart Publications
Bibliographic data for series maintained by Henry Stewart Talks ().

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Volume 19, issue 3, 2026

Editorial — Banking resilience in an age of uncertainty and systemic shocks: A special issue pp. 220-221 Downloads
Klaus Böcker
Quo vadis ESG risk management? The EBA guidelines and the need for epistemic governance in an uncertain world pp. 222-228 Downloads
Klaus Böcker
Financial sector resilience under political and institutional stress: Macro-financial contagion pathways in EMDEs pp. 229-242 Downloads
Oluwaseun James Oguntuase
A curious case of board governance in rising geopolitical tensions: When shareholder and financial institution interests are at odds — a case study of a Canadian bank pp. 243-259 Downloads
Bogie Ozdemir
Banking resilience in the era of dual AI risk-adoption gap analysis and strategic implications for global AFC pp. 260-273 Downloads
Michele Trifiletti
Pricing climate transition risk in the banking book: A Scope 3 capital pass-through approach pp. 274-285 Downloads
Marina Palaisti
Beyond CAMELS ratios: A hybrid AI framework for counterparty credit risk monitoring pp. 286-297 Downloads
Riten Dixit
Achieving banking resilience under compound shocks: Scenario analysis, management actions, and decision infrastructure pp. 298-312 Downloads
Nasir M. Ahmad and Olga Balashova
Corporate Governance and Culture in Financial Institutions pp. 313-314 Downloads
Rebecca Brosnan
The Future of Banking: A Global Blueprint for the Bank of Tomorrow pp. 314-315 Downloads
Unknown
The Art of Uncertainty: How to Navigate Chance, Ignorance, Risk and Luck pp. 315-316 Downloads
Krzysztof Jajuga

Volume 19, issue 2, 2026

‘Interesting times’ in financial risk management pp. 104-105 Downloads
Julie Kerry
Towards a Governance Barometer for stormy times in emerging markets pp. 106-120 Downloads
Michel-Henry Bouchet and Alexandre Landi
From latent risk to market collapse: Explaining flash crashes through the Swiss Cheese Model pp. 121-138 Downloads
Steven Haynes
Quiet alpha: Extracting outperformance from Swiss equities with minimum variance pp. 139-167 Downloads
Antoine Kopp and Arnaud Mogras
Risk detection through LLMs: An EU banking case study in monitoring media with AI pp. 168-181 Downloads
Vedad Sehanovic, Lorenz Bacca and Charles Dietz
Bridging the viability gap of microinsurance pp. 182-191 Downloads
Tarek Seif and Hala Naseeb
Banks’ business models and bank performance mediated by banks’ business risks: Neural network versus panel data analysis pp. 192-214 Downloads
Manfred Herdt and Hermann Schulte-Mattler
Comparative Financial Regulation pp. 215-216 Downloads
Krzysztof Jajuga

Volume 19, issue 1, 2025

The GENIUS Act and the stablecoin timing problem pp. 4-9 Downloads
Paul Kupiec
Habits and adoption of financial solutions: Managing risks and leveraging opportunities in financial institutions through the TCCM framework pp. 10-21 Downloads
Rinu Jayaprakash and Roshna Varghese
The optimal desk coverage ratio and the Basel III FRTB internal models approach pp. 22-45 Downloads
Hank Z. Yang
Incident management: How to respond to the polycrisis with an integrated approach pp. 46-57 Downloads
Michael Ehrnsperger
Exploring the exclusion of NFTs and other digital assets from FASB’s new definition of crypto assets pp. 58-77 Downloads
Mfon Akpan
A framework to integrate climate transition plans into ICAAP/ORSA to co-manage green and financial targets pp. 78-100 Downloads
Bogie Ozdemir

Volume 18, issue 4, 2025

Capital relief for G-SIBs: The start of something grander? pp. 320-321 Downloads
Allan D. Grody
Measuring the magnitude of differences across multilateral lending institutions’ credit quality: From ordinal rank-ordered scales to ratio-level measurements pp. 322-344 Downloads
Jonas De Oliveira Campino and Francisco Javier Vidal Pérez
Enterprise risk management implementation challenges in the Indian insurance market pp. 345-365 Downloads
Sonjai Kumar, Purnima Rao and Munim K Barai
Navigating credit valuation adjustment (CVA) under CRR III: A comparative analysis of SA-CVA, BA-CVA and SI-CVA pp. 366-391 Downloads
Daniela Gellenbeck and Hermann Schulte-Mattler
An indicator-based peril framework for advancing forward-looking country risk assessments pp. 392-410 Downloads
Bilal Bassiouni
What drives the credit risk in the banking sector? A systematic literature review pp. 411-426 Downloads
Salah U-Din

Volume 18, issue 3, 2025

Managing FinTech risks to reap the rewards pp. 200-201 Downloads
Thomas C. Wilson
The impact of FinTech on reshaping the financial landscape: A perspective pp. 202-218 Downloads
Michel Crouhy, Dan Galai and Robert Mark
Managing risk in FinTech: Balancing innovation, regulation and consumer protection pp. 219-231 Downloads
Anat Goldstein and Subramanian Narayanaswamy
Tech companies in EU finance: Setting the balance between innovation and financial stability pp. 232-248 Downloads
Samuel Collot and Emmanuel Rocher
What lessons can embedded finance learn from payment schemes? The market potential and challenges of embedded finance partnerships pp. 249-260 Downloads
Piet M. Mallekoote and Suren K. Balraadjsing
AI governance and algorithmic auditing in financial institutions: Lessons from Singapore pp. 261-275 Downloads
Nydia Remolina
Defining resilience: Developing operational risk scenarios for UK insurance companies pp. 276-288 Downloads
Stavros Pantos
Crypto regulatory arbitrage: How shifting US attitudes may have an impact on financial institutions’ behaviour pp. 289-306 Downloads
Mark A. Cianci and Xochitl S. Strohbehn
Innovation: The fourth line of defence pp. 307-316 Downloads
John Blicq and Brad Carr

Volume 18, issue 2, 2025

Weighing risk in an uncertain world pp. 104-105 Downloads
Julie Kerry
A new framework for comparing financial stability risks pp. 106-115 Downloads
Colin Ellis
Operational risk stress testing: Challenges and approaches pp. 116-133 Downloads
Michael Grimwade
Dynamic deposit behaviours in IRRBB: Enhancing risk management through sensitivity analysis pp. 134-148 Downloads
Chih Chen
Unveiling market turning points: Analysing skewness, kurtosis and Hurst exponent in intraday data pp. 149-170 Downloads
Clemens Kownatzki and Jungjun Park
Review of theoretical advancements in AI/ML classification models for credit risk assessment pp. 171-184 Downloads
Lingling Fan
Risk transfer for MDBs: Transferring risk to lend more pp. 185-196 Downloads
William Perraudin, Federico Galizia, Andrew Powell and Timothy Turner

Volume 18, issue 1, 2024

Editorial pp. 4-5 Downloads
Julie Kerry
The human factor in operational risk management pp. 6-13 Downloads
Bart Martens
Risk management, the board and the C-suite: The adaptive art of communication in times of change pp. 14-25 Downloads
Rosa Cocozza
Transitioning to a low-GHG economy: ESG differentiated pricing as a dynamic transition tool and its calibration pp. 26-48 Downloads
Bogie Ozdemir
Navigating the storm: How can insurers better prepare for the impact of climate change pp. 49-57 Downloads
Hala Naseeb
New legal risks for banks related to climate change and possible mitigation strategies pp. 58-75 Downloads
Udo Milkau
Cyberwashing: The disconnect between cyber security claims and real practices pp. 76-83 Downloads
Nigel Phair
China Trade Exposure Index: Using principal component analysis to compare countries’ exposure to the Chinese economy pp. 84-99 Downloads
Tuuli Mccully
Page updated 2026-07-04