Finance:The Journal of Risk Model Validation
From HandWiki
| |Subject |Discipline}} | Finance |
|---|---|
| Language | English |
| Publication details | |
| History | 2007–present |
| Frequency | Bimonthly |
| 0.250 (2015) | |
| Standard abbreviations | |
| ISO 4 | J. Risk Model Valid. |
| Links | |
The Journal of Risk Model Validation is a bimonthly peer-reviewed academic journal focusing on the implementation and validation of risk models. It was established in 2007 and is published by Incisive Risk Information. The editor-in-chief is Stephen Satchell, (Cambridge University). According to the Journal Citation Reports, the journal has a 2015 impact factor of 0.250 [1]
References
- ↑ "The Journal of Risk Model Validation". 2015 Journal Citation Reports. Web of Science (Social Sciences ed.). Thomson Reuters. 2016.
External links
