Abstract
The editorial team is delighted to present the first issue of the journal Risk Governance and Control: Financial Markets and Institutions in 2022. This issue contains six interesting papers dealing with up-to-date subjects in accounting, macroeconomics, economic policy, and innovation, which are analyzed from an original perspective. In particular, these six papers focus on environmental accounting, hidden champion companies, transitional economy, economic growth and taxation, Fintech companies, foreign direct investments, and export diversification.