About the Journal
Focus and Scope
Publish all forms of quantitative and qualitative research articles and other scientific studies related to the field of Risk Management and Finance.
Peer Review Process
Jurnal Management Risiko dan Keuangan using Double-blind review to maintain its credibility. Each submitted article will be reviewed by two reviewers who have expertise in their fields.
Open Access Policy
This journal provides immediate open access to its content on the principle that making research freely available to the public supports a greater global exchange of knowledge.
Each submitted manuscript will be checked for plagiarism levels with a turnitin application to prevent plagiarism. the maximum limit for total detected sources is 24% and each detected source is a maximum of 2%.
Jurnal Management Risiko dan Keuangan (JMRK) has been published since 2022 by the Department of Management, Faculty of Economics and Business, Universitas Brawijaya, Indonesia. The purpose of establishing Jurnal Management Risiko dan Keuangan is to support and accommodate student research. Published four times a year in March, June, September, and December.