Affiliation:
1. University of Naples Federico II
Abstract
It is a privilege for the editorial team to present the third issue of the journal Risk Governance and Control: Financial Markets & Institutions in 2022. Even more, in the current period, rich with tumultuous events, most recently the nuclear threat. Indeed, nowadays, businesses are increasingly called for facing extraordinary challenges under high levels of uncertainty, in order to build back the wealth of economies and societies as a whole. As consequence, organizations are in a state of changes that are wide and varied and arise from internal and external sources. That is, there are several regulatory adaptations as well as corporate governance transformations which should be addressed. They give much impulse to research topics related to corporate complexity, digitalization, risk management, sustainability, and geographical peculiarities (e.g., emerging markets) that are crucial for corporate governance aims in sustaining companies’ recovery after the crisis.
Subject
Strategy and Management,Economics and Econometrics,Finance