Journal of Risk & Control

Editor-in-Chief

Alexandros Koulis, Department of Regional Development, Ionian University, Greece

Editorial Board

Luis Ferruz Agudo, University of Zaragoza, Spain

Sagi Akron, University of Haifa, Israel

Irene Aldridge, ABLE Alpha Trading, USA

Fernando H. Avalos, Bank for International Settlements, Switzerland

Svetlana BorovkovaVrije Universiteit Amsterdam, The Netherlands

Carol Marie Boyer, Long Island University, USA

Alexander Braun, University of St. Gallen, Switzerland

Melanie Cao, York University, Canada

Marc De Ceuster, University of Antwerp, Belgium

Bo Young Chang, Bank of Canada, Canada

Hua Chen, Temple University, USA

Douglas J. Cumming, York University, Canada

Arif Billah Dar, Institute of Management Technology Ghaziabad, India

Nadine Gatzert, University Erlangen-Nürnberg, Germany

Stéphane Goutte, University of Paris 8, France

Montserrat Guillen, University of Barcelona, Spain

Florian Hartmann, Osnabruck University, Germany

Iftekhar Hasan, Fordham University, USA

Joachim Klement, Wellershoff & Partners, Switzerland

Philip Kostov, University of Central Lancashire, U.K.

François Desmoulins-Lebeault, Grenoble Ecole de Management, France

Alexandros Leontitsis, Orbis Investment Advisory Ltd, U.K.

Don Lien, University of Texas at San Antonio, USA

Rahul Malhotra, Portfolio Manager, Allianz Global Investors, USA

Vsevolod K. Malinovskii, Institute of Russian Academy of Science, Russia

Natalie Packham, Frankfurt School of Finance & Management, Germany

Max Palmer, Flextrade Systems, USA

Pasqualina Porretta, University of Rome, Italy

Lalith Samarakoon, University of St. Thomas, USA

Costas Siriopoulos, Zayed University, U.A.E

Vasilios Sogiakas, University of Glasgow, UK

Ziyi Zach Guo, Department of Economics, Vanderbilt University, USA