Volume 11 (2018)

Each volume of Journal of Risk Management in Financial Institutions consists of four quarterly 100-page issues, published both in print and online. The articles published so far in Volume 11 are:

Volume 11 Number 1

  • Editorial: Bitcoin and other cryptocurrencies: Tulip Mania or the next Amazon?
    Madelyn Antoncic, Editorial Board member, Journal of Risk Management in Financial Institutions
  • Why is managing conduct risk critical for a firm’s board?
    Rajat Baijal, Head of Enterprise Risk, Cantor Fitzgerald
  • On the role of ontology-based RegTech for managing risk and compliance reporting in the age of regulation
    Tom Butler, Professor and Principal Investigator of the Governance, Risk and Compliance (GRC) Technology Centre, University College Cork and Robert Brooks, Thought Leader in Integrated Risk Management, Deloitte LLP
  • Rebuilding financial industry infrastructure
    Allan D. Grody, President, Financial InterGroup Advisors
  • The UK Banking Standards Board: An outcome-based approach to assessing organisational culture
    Alison Cottrell, CEO, Banking Standards Board
  • Why the euro crisis is far from over
    Colin Ellis, Visiting Research Fellow, University of Birmingham and Managing Director, Moody’s Investors Service
  • Visualisation of model risk propagation
    James Barrett, AIG
  • Evolution of risk management from risk compliance to strategic risk management: From Basel I to Basel II, III and IFRS 9
    Bogie Ozdemir, Chief Risk Officer and Executive Vice President, Canadian Western Bank
  • Book Reviews
    Financial Decisions and Markets. A Course in Asset Pricing
    Krzysztof Jajuga, Wroclaw University of Economics
  • China’s Financial Markets. Issues and Opportunities
    Krzysztof Jajuga, Wroclaw University of Economics