Risks Journal Issues Research Articles in January 2022 Edition
Targeted News Service
BASEL, Switzerland, Jan. 10 -- Risks, a peer-reviewed open access journal for research and studies on insurance and financial risk management, published research articles on the following topics in its January 2022 edition:
Articles:
* New Definition of Default-Recalibration of Credit Risk Models Using Bayesian Approach
* Optimal Asset Allocation Subject to Withdrawal Risk and Solvency Constraints
* Market and Accounting Measures of Risk: The Case of the Frankfurt Stock Exchange
* Estimation of Maximum Potential Losses for Digital Banking Transaction Risks Using the Extreme Value-at-Risks Method
* Risk Self-Selection and the Concept of Equilibrium in a Competitive Insurance Market
* Towards Sustainable Retirement Planning of Wageworkers in Thailand: A Qualitative Approach in Behavioral Segmentation and Financial Pain Point Identification
* Parents' Expectations about Educational Institutions during the Pandemic: Results of Nationwide Questionnaire Research in Poland
* Comparison of National Innovation Systems in the European Union Countries
* An Analysis of the Financial Liquidity Management Strategy in Construction Companies Operating in the Podkarpackie Province
* Stock Indices Breakdown during the Pandemic as the Most Dynamic Bear Market in History: Consequences for Individual Investors
The January 2022 edition of the Risks Journal can be viewed at https://www.mdpi.com/2227-9091/10/1. The journal is published by Molecular Diversity Preservation International and Multidisciplinary Digital Publishing Institute.
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