Risk magazine - About
Risk is the world's leading financial risk management magazine.
Since its launch in 1987, Risk has grown with the markets. Risk continues to be the only magazine truly dedicated to all aspects of financial risk management and the global derivatives markets, taking complex material and delivering it in an easily digestible style. Every month, Risk covers the latest developments in risk management, derivatives pricing and trading, regulation, law and documentation, exchanges, and clearing and settlement.
Don't just take our word for it:
"The combination of current trends in practice and regulation with applied and theoretical articles makes Risk an important read. Risk keeps us abreast of the innovations in applying the tools of risk management."
Myron Scholes, Chairman, Oak Hill Platinum Partners, and Frank E Buck, Professor of Finance Emeritus, Stanford University.
A trusted source for more than 11,350 senior risk and derivatives professionals around the world, doesn't Risk belong on your desk too?
In every financial centre throughout the world, the business of risk management is the cornerstone of growth. Such is the power and depth of Risk's reputation that in each of these countries, you will find someone subscribing to Risk and advertisers using Risk to reach them. Risk has subscribers in more than 90 countries, or 44% of all nation states - almost the entire developed and developing world. From Korea to Kenya, Germany to Greece and the Czech Republic to China, professionals involved in financial risk management and derivatives subscribe to Risk.
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