The Journal of Risk Model Validation
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The Journal of Risk Model Validation is the only publication devoted exclusively to the theoretical and empirical studies in financial risk management of market and credit risk, capital allocation and volatility estimation.

Each issue of The Journal of Risk Model Validation features comment from the Editor-in-Chief, Philippe Jorion plus four research papers that have been reviewed by an editorial board made up of leading academics and practitioners.

Subscribers to Risk Journals receive 4 quarterly issues of the journals as well as on-line access to a fully searchable archive of every paper published going back to the first issue.

Subscriber benefits:
  • Ground-breaking, high quality, original research papers on financial risk management from the world's leading academics and practitioners.
  • On-line archive of past papers going back six years – providing you with instant access to a library of papers on financial risk management.
  • Email alerts notifying you when new issues are posted
  • Discounts of Risk Books and conferences  
To subscribe to The Journal of Risk Model Validation, simply complete the form below and fax completed from back to us on +44 (0) 20 7848 9797.
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If you would like to start receiving copies as soon as possible, we recommend that you pay by credit card, as pre-payment must be received before your subscription commences and first copy can be sent.
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