Risk Management Research Report - Winter 2010

15 Pages Posted: 17 Jan 2010

See all articles by Robert W. Kolb

Robert W. Kolb

Loyola University of Chicago - Department of Finance

Date Written: January 16, 2010

Abstract

Risk Management Research Report (RMRR) surveys and screens the flow of academic articles on risk management and presents extended scholarly summaries of today’s most important scholarly work in a convenient format on a timely basis. Each issue features approximately 15 of the most important scholarly articles in risk management published within the preceding quarter. For each of these articles, RMRR presents an extended summary of about 500-800 words, which contrasts with the brief (approximately 150-word) abstracts that typically accompany publication. The purpose of each summary is to provide a substantive understanding of the content of the article.

Keywords: Risk, Risk Management, Derivatives, Corporate Governance, Financial Derivatives, Value-At-Risk, VaR, Ethics, Volatility, Variance, Standard Deviation, Systemic, Systematic

JEL Classification: A1, C00, C7, G00, G3, D81, G34, G1

Suggested Citation

Kolb, Robert W., Risk Management Research Report - Winter 2010 (January 16, 2010). Available at SSRN: https://ssrn.com/abstract=1537652 or http://dx.doi.org/10.2139/ssrn.1537652

Robert W. Kolb (Contact Author)

Loyola University of Chicago - Department of Finance

820 North Michigan Avenue
Chicago, IL 60611
United States

HOME PAGE: http://bobkolb.com

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