The Premier Meeting Place of the Risk Profession
PRMIA Institute
Please note that the digital Journal of Risk Management in Financial Institutions is not compatible with Vista at this time.

Journal of Risk Management in Financial Institutions


About JRMFI
Table of Contents
Editorial Board
Future Content
Submit a Paper
Sponsorship
 The Journal of Risk Management in Financial Institutions, an official Journal of PRMIA, is an indispensable resource for all those directly involved in, or concerned with, the management of risk in the financial sector in five inter-related areas:

  • Strategic and business risk: risks to the way the institution is managed in both the immediate and longer term (e.g. competitor strategy, M&A, new product development, profit warnings etc.);
  • Financial risk: covering both traditional and more exotic credit, market and liquidity risks and exposures across all products;
  • Operational risk: management of day-to-day business processes as well as large unexpected internal and external events (e.g. fraud, theft, natural disaster, terrorism, litigation);
  • Regulatory risks: regulatory developments and their impact on institutions;
  • Systemic risk: risks of a systemic crisis to the financial system as a whole triggered by financial institutions, and/or the risks to the financial service industry of such a systemic crisis, however triggered.
 
The Journal is provided in digital format as a free benefit to all full Sustaining Members of PRMIA. If you are not already a full Sustaining Member, click here to join PRMIA or to upgrade your membership status.
 
PricingDigitalPrint
 
Full Sustaining MemberFREEUS$245
Student/Academic MemberUS$30US$275
Emerging Markets MemberUS$30US$275
Free MemberUS$150US$395
 
All prices are subject to additional VAT or sales tax, as applicable.
 
 
To view and purchase other Financial Journals please visit the Henry Stewart Publishing website. A special discount is available to PRMIA members on select Journals