Reviewer Board
Members of the reviewer board are selected from all JRFM reviewers for regularly providing timely high quality reports on submitted manuscripts. Responsibilities of reviewers are available here.
Members
Interests: asset pricing; risk management; financial econometrics
Interests: risk theory; risk management; stochastic optimization; microeconomics
Interests: initial public offerings (IPO); mergers and acquisition (M & A); venture capital; hedge funds
Interests: industry 4.0; employment; automation; Robotics; investment and financial demand; global political economy; international trade; international economics; european union economic policies and integration porocesses; international marketing
Interests: sector-specific regulation; regulated sectors of ecomnomy and competition regulation; public medical law; gambling regulation
2. Department of Business Administration, Hellenic Open University, Patra, Greece
Interests: economic policy; economic development and growth; Culture; institutions
Interests: economics; international finance; financial risk; capital flows; foreign direct investments (FDI); international trade; investment funds; public finance; monetary policy; corporate and mortgage banking; banking risk (NPLs); financial policy and economic growth; econometrics modelling (VAR/VECM, OLS, panel etc.)
Interests: artificial intelligence; Machine learning; data mining; knowledge discovery; data science
Interests: risk management; non-financial disclosures; integrated reporting; IFRS
Interests: corporate finance; investment banking; capital raising; payout policy
Interests: forecasting; credit risk modeling; classification; futures studies; foresight
Interests: financial management; corporate finance; financial markets; financial economics; behavioural finance
Interests: financial econometrics; applied statistics
Interests: economics; management; development management; development strategies; digitalisation; sustainability; artificial intelligence
Interests: derivative pricing; Quantitative Finance; interest rate modelling
Interests: financial engineering (asset allocation, option pricing)
Interests: engineering; environment; energy; renewable energy sources; waste management; organic pollutants; polymer materials; business administration; development economics; environmental systems; circular economy; behavioral ecology; education; Culture; human resources management
Interests: monetary; finance; cryptocurrencies
Interests: capital structure; corporate (product) diversification; ownership
Interests: banking; corporate finance; FinTech; political economy
2. Department of Banking and Finance, University of Canberra, Bruce 2617, Australia
Interests: FinTech; efficiency and productive of banking sector; bank risk; bank regulation
Interests: finance; management; banking; investment risk; executive compensation; information disclosure; social networks
Interests: investment analysis; options and futures
Interests: entrepreneurship; Innovation; regional policy; open innovation; sustainable business models
Interests: portfolio performance evaluation; socialy responsible investments; green funds
Interests: public finance; fiscal policy; monetary policy; CSR at commercial and national banks; crisis management after sup-prime crisis; public accounting and audit
Interests: empirical corporate finance; corporate governance; executive compensation; CSR; insider trading
Interests: asset pricing; portfolio selection
Interests: economics; corporate governance; property market movements; international financial regulations; bond yields; financial crisis analysis
Interests: ruin probabilities; Markov risk modelling; reinsurance; renewal processes; dependence; copulas