Risk governance and control: financial markets & institutions
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Risk governance and control: financial markets & institutions

Aims and scope

Since the expansion of the recent global financial crisis the recently established international journal Risk Governance and Control: Financial Markets & Institutionshas become focused on market-based topics. The Journal has been established to publish high quality theoretical and empirical studies in risk governance and control with application to financial markets and institutions. Its distinctive focus is original, rigorous research with practical applications.


Responsiveness Very fast
Time from submission to first decision after peer review 5 weeks
Time to immediate reject 1 week
Publication speed Slow
Time from acceptance to print 8 weeks
Total time to publication 14 weeks
Time from submission to acceptance 8 weeks
Time from acceptance to online 14 weeks


Submission fees $0

There are no submission fees.

Publication or page charges $390

This is a standard publication fee per paper.

Color charges

None listed

Open Access Policy

Open access available Yes

None listed

Not yet verified

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General information

Publisher Virtus Interpress
  • Not provided
ISSN 2077-429X
eISSN 2077-4303
Acceptance rate Not provided
Publication Frequency 4 issues/year
Publication Languages
  • English
International Bibliography of Social Sciences

Journal profile

This journal has an approved representative.

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