Vol. 28 No. 1 (2024): The Journal of Risk Management and Insurance
In this issue we have published an article focusing on currently very much debated topic: To what extent is cyber risk (and cyber insurance) correlated with financial markets? We feel privileged that this article appeared in our journal, and we are looking forward to many citations it will attract.
Although in the end we have published only one research article, we have received a number of submission over the past year. Unfortunately, three submissions, despite being accepted, were withdrawn by the authors. Many other submissions did not make it through the peer review process. In our journal, we review and publish articles without trying to meet some publication target. Readers can be then sure that what we publish was rigorously scrutinised.
However, this would have not be possible without the join effort by our reviewers and editors, who make this contribution free of charge for the benefit of our academic community. We would like to appeal to all prospective authors not to waste their time by submitting articles simultaneously to multiple journals.