Abstract

On behalf of the editorial team, it is our great honor and pleasure to present the second issue of the journal “Risk Governance and Control: Financial Markets & Institutions” in 2023. As we delve into various articles covering diverse topics, a common thread emerges, emphasizing the growing relevance of risk management and crisis resilience in both academic literature and the practical realms of public and private enterprises (Mattei & Santolamazza, 2021). This editorial adopts a broader interpretation of these concepts (Aven, 2016).

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