Scientific Responsible: Prof. Paolo Biancone

In the last decade, much progress has been made in quantifying the potential impact of various risk exposures and in developing methodologies for managing these risks. A wide range of interested parties, including International financial regulators, academics and practitioners, has driven this development and increased the attention at international level on this topic.

This panel focuses on the impact of various risk exposures on the firm management and on its performance, considering different kinds of company: private, public, state-owned firm, bank, insurance.

Discussions and debates on risk management perspectives, analysing the impact on financial and non-financial performance, are encouraged. In particular, we welcome discussions on all topics related to risk taking, risk management and risk regulation. Contributions can review the existing body of knowledge, develop theoretical frameworks, present strategic problem-solving applications or offer empirical evidence.

The Risk in Business Management topic area gathers the following topics:

  • Corporate Governance;
  • Accounting and Accountability;
  • Strategic Planning and Management Control;
  • Human Resource Management and Business Organization;
  • Social and Environmental Issues;
  • Financial Disclosure.

Successful submissions will employ accurate methodologies and develop their arguments based on rigorous analysis.

Publication Opportunities