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Financial modeling, risk management of energy and environmental instruments and derivatives: past, present, and future
Journal article   Open access   Peer reviewed

Financial modeling, risk management of energy and environmental instruments and derivatives: past, present, and future

Rabin K Jana, Aviral Kumar Tiwari, Shawkat Hammoudeh and Claudiu Albulescu
Annals of operations research, v 313(1), pp 1-7
2022
PMID: 35571379
url
https://doi.org/10.1007/s10479-022-04723-2View
Published, Version of Record (VoR)Maybe Open Access (Publisher Bronze) Open

Abstract

Risk management Financial modelling Energy market
In this preface, we investigate the past, study the present, and look for the future of financial modeling, risk management of energy and environmental instruments, and derivatives based on articles selected in this special issue (SI). We also summarize the significant findings of those articles and identify the research trends.

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UN Sustainable Development Goals (SDGs)

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#8 Decent Work and Economic Growth

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Collaboration types
Domestic collaboration
International collaboration
Web of Science research areas
Operations Research & Management Science
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