Journal of Risk Finance
metrics 2024
Connecting theory and practice in risk finance.
Introduction
The Journal of Risk Finance, published by Emerald Group Publishing Ltd, is a premier academic journal dedicated to advancing the understanding of risk management and finance practices since its inception in 1999. With a strong foothold within the Q2 rankings in both Accounting and Finance categories, it proudly holds a significant place in the scholarly landscape, ranking #54 out of 317 in the Scopus Economics and Finance category, placing it in the 83rd percentile. The journal aims to facilitate the exchange of innovative research and practical insights, catering to an audience of researchers, professionals, and students eager to explore contemporary issues in risk finance. While not an open access journal, it provides numerous access options, ensuring that essential findings reach a broad readership. Set in the United Kingdom and covering publications up to 2024, the Journal of Risk Finance continues to be an indispensable resource for those committed to this critical field.
Metrics 2024
Metrics History
Rank 2024
Scopus
IF (Web Of Science)
JCI (Web Of Science)
Quartile History
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