Back to matchesWe found a matchYour institution may have access to this item. Find your institution then sign in to continue.TitleFinancial Theory and Risk Modeling: Diverse Perspectives in Turbulent Times.AuthorsGabbi, Giampaolo; Galai, Dan; Wiener, ZviAbstractAn introduction is presented in which the editor discusses articles in the issue on topics including innovation in financial research, credit and liquidity risks and sustainability and circular economy.SubjectsHEBREW University (Jerusalem); FINANCIAL risk; EUROPEAN Union; TIME perspective; CREDIT risk; MODEL theory; REAL options (Finance); BANK loans; ECONOMIC changePublicationQuarterly Journal of Finance, 2023, Vol 13, Issue 2, p1ISSN2010-1392Publication typeArticleDOI10.1142/S2010139223030015