Journal of Financial Risk Management
ISSN Online: 2167-9541
Google-based IF: 0.61  Citations h5-index & Ranking*
Top Cited Articles
(108 articles with 423 citations as of March 2017)

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Determinants of IPOs Initial Return: Extreme Analysis of Indian Market ,JFRM,Vol.1 No.4, 2012
Rohit Bansal Ashu Khanna
Citations: 22(Details)
Foreign Currency Derivatives and Firm Value: Evidence from New Zealand ,JFRM,Vol.3 No.3, 2014
Hao Li Nuttawat Visaltanachoti Robin H. Luo
Citations: 18(Details)
Stock Market Volatility, Speculative Short Sellers and Weekend Effect: International Evidence ,JFRM,Vol.2 No.3, 2013
Weili Zhai Hossein S. Kazemi Jibao He Jinghan Cai
Citations: 15(Details)
A Multi-Dimensional Analysis of Corporate Social Responsibility: Different Signals in Different Industries ,JFRM,Vol.4 No.2, 2015
Homayoon Shalchian Kais Bouslah Bouchra M’Zali
Citations: 14(Details)
Qualitative Approach Risk Period in Construction Projects ,JFRM,Vol.1 No.3, 2012
Abdelhak Challal Mohamed Tkiouat
Citations: 12(Details)
Review of Stock Markets’ Reaction to New Events: Evidence from Brexit ,JFRM,Vol.5 No.4, 2016
Isaac Quaye Yinping Mu Braimah Abudu Ramous Agyare
Citations: 11(Details)
A Study on Enterprise Risk Management and Business Performance ,JFRM,Vol.7 No.1, 2018
Linshan Li
Citations: 10(Details)
The P2P Risk Assessment Model Based on the Improved AdaBoost-SVM Algorithm ,JFRM,Vol.6 No.2, 2017
Jianhui Yang Dongsheng Luo
Citations: 8(Details)
Credit Risk Management Framework for Rural Commercial Banks in China ,JFRM,Vol.6 No.1, 2017
Yang Wang Wenchun Wang Jiaojiao Wang
Citations: 8(Details)
Financial Engineering, Corporate Goverance and Nigeria Economic Development ,JFRM,Vol.2 No.4, 2013
John Ifeanyichukwu Osuoha
Citations: 7(Details)
Market Discipline of Subordinated Debt: Empirical Evidence from Japanese Commercial Banks ,JFRM,Vol.2 No.2, 2013
Young-Soon Hwang Hong-Ghi Min
Citations: 7(Details)
Board Advising, Risk-Taking, and Firm Performance ,JFRM,Vol.5 No.3, 2016
Jianping Li
Citations: 6(Details)
The Impact of Asset Price Bubbles on Credit Risk Measures ,JFRM,Vol.4 No.4, 2015
Michael Jacobs Jr.
Citations: 5(Details)
Accounting for Derivative Instruments and Hedging Activities ,JFRM,Vol.3 No.4, 2014
Veliota Drakopoulou
Citations: 5(Details)
A Comparative Study of Mean-Variance and Mean Gini Portfolio Selection Using VaR and CVaR ,JFRM,Vol.4 No.2, 2015
Jamal Agouram Ghizlane Lakhnati
Citations: 5(Details)
Concentration Risk: The Comparison of the Ad-Hoc Approach Indexes ,JFRM,Vol.5 No.1, 2016
Badreddine Slime Moez Hammami
Citations: 5(Details)
Handling Corporate Crises Based on the Correct Analysis of Its Causes ,JFRM,Vol.5 No.4, 2016
Drago Dubrovski
Citations: 5(Details)
Credit Name Concentration Risk: Granularity Adjustment Approximation ,JFRM,Vol.5 No.4, 2016
Badreddine Slime
Citations: 4(Details)
On the Nexus of Credit Risk Management and Bank Performance: A Dynamic Panel Testimony from Some Selected Commercial Banks in China ,JFRM,Vol.8 No.2, 2019
Tan Zhongming Rethabile Mpeqa Isaac Adjei Mensah Guoping Ding Mohammed Musah
Citations: 4(Details)
Enterprise Internal Control and Accounting Information Quality ,JFRM,Vol.6 No.1, 2017
Mengmeng Luo
Citations: 4(Details)
Operational Risk Modelling in Insurance and Banking ,JFRM,Vol.4 No.3, 2015
Ognjen Vukovic
Citations: 3(Details)
Capital Adequacy Ratios as Predictors of Financial Distress in Kenyan Commercial Banks ,JFRM,Vol.7 No.3, 2018
C. Karugu G. Achoki P. Kiriri
Citations: 3(Details)
The Market-Discipline Effects of Subordinated Debt: Enhanced US Commercial Banking-Sector Efficiency and Stability ,JFRM,Vol.3 No.3, 2014
Sang-Ook Shin Hong-Ghi Min Judith A. McDonald
Citations: 3(Details)
Investing in China: Opportunities and Risks in the Future ,JFRM,Vol.1 No.1, 2012
Yunhua Liu
Citations: 3(Details)
The Long-Run and Short-Run Relationship between the Exchange Rates and Stock Market Prices ,JFRM,Vol.6 No.4, 2017
Clement Mwaanga Nsama Njebele
Citations: 3(Details)
Franchise Revenue Guarantee Valuation: Real Options Approach ,JFRM,Vol.4 No.1, 2015
Lukito Adi Nugroho
Citations: 3(Details)
Machine Learning Approaches to Predicting Company Bankruptcy ,JFRM,Vol.6 No.4, 2017
Wenhao Zhang
Citations: 3(Details)
Game Analysis of SME Financing ,JFRM,Vol.1 No.4, 2012
Pingzhong Lin
Citations: 3(Details)
A Study on Quality of Work Life among Employees in Cairo Amman Bank ,JFRM,Vol.6 No.2, 2017
Basman Al Dalayeen
Citations: 3(Details)
Next Level in Risk Management? Hedging and Trading Strategies of Volatility Derivatives Using VIX Futures ,JFRM,Vol.7 No.4, 2018
Ernst J. Fahling Elmar Steurer Tobias Schädler Adrian Volz
Citations: 3(Details)
Securitizing Area Insurance: A Risk Management Approach ,JFRM,Vol.2 No.3, 2013
Pasquale Lucio Scandizzo
Citations: 2(Details)
Bank Characteristics and Procyclicality: A Theoretical Approach ,JFRM,Vol.3 No.3, 2014
Marie-Sophie Gauvin
Citations: 2(Details)
Financial Risk Management in Dutch SMEs: An Empirical Analysis ,JFRM,Vol.8 No.2, 2019
René-Pascal van den Boom
Citations: 2(Details)
Risk Component Based Infrastructure Debt Valuation Analysis and Long-Term Investment ,JFRM,Vol.5 No.3, 2016
Chunlan Wang Satheesh Kumar Sundararajan
Citations: 2(Details)
A Review of Inventory Investment: The Macro and Micro Perspective ,JFRM,Vol.5 No.1, 2016
Jianyu Huang
Citations: 2(Details)
Risk and Rationality ,JFRM,Vol.8 No.4, 2019
Shreya Shankar
Citations: 2(Details)
Active vs. Passive Funds—An Empirical Analysis of the German Equity Market ,JFRM,Vol.8 No.2, 2019
Ernst J. Fahling Elmar Steurer Sven Sauer
Citations: 2(Details)
Predicting Conditional Autoregressive Value-at-Risk for Stock Markets during Tranquil and Turbulent Periods ,JFRM,Vol.4 No.3, 2015
Anastassios A. Drakos Georgios P. Kouretas Leonidas Zarangas
Citations: 2(Details)
Size and Value in the Stock Exchange of Thailand ,JFRM,Vol.5 No.1, 2016
Mussa Hussaini
Citations: 2(Details)
The Role of Trading Volume in Forecasting Market Risk ,JFRM,Vol.5 No.1, 2016
Skander Slim
Citations: 2(Details)
Can Corporate Innovation Restrain the Stock Price Crash Risk? ,JFRM,Vol.7 No.1, 2018
Zhongpei Zhou Dawei Pan
Citations: 1(Details)
The Herd Behavior of Risk-Averse Investor Based on Information Cost ,JFRM,Vol.2 No.4, 2013
Guangming Deng
Citations: 1(Details)
Revisiting External Pecking Order Hypothesis: Evidence from Sri Lankan Companies Capital Structure ,JFRM,Vol.8 No.4, 2019
Dewundara L. Prasath Manjula Rathnasingha Chanthun P. Heiyanthuduwa
Citations: 1(Details)
Can Micro-Credit Promote Financial Inclusion? The Evidence from China ,JFRM,Vol.7 No.4, 2018
Jianhua Yi Ran Zhang Feng Guo
Citations: 1(Details)
Deviation Measures on Banach Spaces and Applications ,JFRM,Vol.2 No.1, 2013
Christos E. Kountzakis
Citations: 1(Details)
Microfinance Risk Management with Work Breakdown Structure ,JFRM,Vol.1 No.3, 2012
Junxiang Liu
Citations: 1(Details)
Classification of Risk Perceptions of Trading Firms ,JFRM,Vol.5 No.1, 2016
Gokhan Cinar Ferruh Isin Adnan Hushmat
Citations: 1(Details)
Half-Life Volatility Measure of the Returns of Some Cryptocurrencies ,JFRM,Vol.8 No.1, 2019
Abonongo John Anuwoje Ida Logubayom Raymond Nero
Citations: 1(Details)
Effect of Firm Structure on Corporate Cash Holding (Evidence from Non-Financial Companies) ,JFRM,Vol.8 No.1, 2019
Sher Khan Zhuangzhuang Peng Sohail Ahmad Shahid Mahmood Ijaz Ahmad
Citations: 1(Details)
Claims Management and Financial Performance of Insurance Companies in Rwanda: A Case of SONARWA General Insurance Company Ltd. ,JFRM,Vol.9 No.3, 2020
Alphonse Ntwali Alice Kituyi Athanas Osiemo Kengere
Citations: 1(Details)
Performance Base Empirical Analysis of Mutual Fund of Nepal ,JFRM,Vol.8 No.2, 2019
Tara Prasad Upadhyaya Sirjana Chhetri
Citations: 1(Details)
Modeling and Quantifying of the Global Wrong Way Risk ,JFRM,Vol.6 No.3, 2017
Badreddine Slime
Citations: 1(Details)
The Concept of Brand Insecurity & Its Measurement for ISO 10668 Valuations ,JFRM,Vol.3 No.4, 2014
Denghua Yuan Robert Keith Shaw
Citations: 1(Details)
Do Pre-Sale and Post-Sale Foreclosure Statutes Impact Foreclosure Starts? ,JFRM,Vol.4 No.2, 2015
Russell Price Debby Lindsey-Taliefero Lynne Kelly William Brent
Citations: 1(Details)
The Nigerian Contributory Pension Market: A Review of Compliance Status across the Federation ,JFRM,Vol.8 No.3, 2019
Cosmas Ogobuchi Odo Christopher Chukwudi Orga Kenneth C. Ozoemenam
Citations: 1(Details)
Money Laundering Risk Evaluation of Financial Institution with AHP Model ,JFRM,Vol.6 No.2, 2017
Muhammad Subtain Raza Muhammad Fayaz Muhammad Haseeb Ijaz Danish Hussain
Citations: 1(Details)