Journal of Risk Finance: Volume 21 Issue 1

Subject:

Table of contents

Does securitization escalate banks’ sensitivity to systemic risk?

Katerina Ivanov, Julia Jiang

The purpose of this paper is to test empirically the impact of asset securitization and sale activities as well as the holdings of sub-prime related securitized products on the US…

The term structure of equity factor diversification

Julien Fouquau, Cecile Kharoubi

Risk factor investing has grown in popularity in recent years and has become a cornerstone of investment portfolios. The goal of factor investing is to generate more returns in…

Risk and complexity – on complex risk management

Jan Emblemsvåg

Industries lament the current situation of approaches that have resulted in huge losses in the face of complex risks. The purpose of this study is therefore to review complexity…

Cover of Journal of Risk Finance

ISSN:

1526-5943

Online date, start – end:

1999

Copyright Holder:

Emerald Publishing Limited

Open Access:

hybrid

Merged from:

Balance Sheet

Editor:

  • Nawazish Mirza