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Risk Governance and Control: Financial Markets & Institutions

Risk Governance and Control: financial markets and institutions is published in association with University of Pisa (Italy) through editorial and reviewing cooperation.

Cooperation with University of Pisa is arranged through the Department of Economics and Management.

The Journal has been established to publish high quality theoretical and empirical studies in risk governance and control with application to financial markets and institutions. Its distinctive focus is original, rigorous research with practical applications.

The journal is indexed/listed/ranked by:

- EconLit (American Economic Association, USA);

- ANVUR journal list (Italy);

- NSD Database (Norway);

- La Clasificación Integrada de Revistas Científicas, Spain (level B);

- SIDREA (Italy);

- Pubindex (Colombia), ranked as C;

- Scilit;

- Handelsblatt Ranking BWL 2015;

- British Library;

- Ulrich’s Periodicals Directory;

- Google Scholar;

- Ulrichsweb: Global Serials Directory;

- Journal Guide;

- VABB-SHW (Belgium, Netherlands);

- Miar (Spain);

- EconBiz (Germany);

- WZB (Germany);

- SUNCAT (UK);

- The German National Library of Science and Technology (TIB).

ISSN - 2077-429X (printed version)

ISSN - 2077-4303 (online version)


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