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The Journal of Risk Research is a monthly peer-reviewed academic journal covering all aspects of risk analysis, communication, judgment, and decision-making. It was established in 1998 and is published by Routledge. The editor-in-chief is Ragnar Löfstedt (King's College London).
A journal's SJR indicator is a numeric value representing the average number of weighted citations received during a selected year per document published in that journal during the previous three years, as indexed by Scopus. Higher SJR indicator values are meant to indicate greater journal prestige.
In February 2023, Clarivate discontinued coverage of two MDPI journals, the International Journal of Environmental Research and Public Health and the Journal of Risk and Financial Management in the Web of Science, for publishing content not related to their scope.
This list was updated in May of 2016; now the journal list used in the research rankings of Financial Times includes 50 journals. It was taken from the Financial Times "FT Top 50 Journals - 2016" Please use the sharing tools found via the share button at the top or side of articles.
Negative consequences of rankings are generally well-documented and relate to the performativity of using journal rankings for performance measurement purposes. [20] [21] Studies of methodological quality and reliability have found that "reliability of published research works in several fields may be decreasing with increasing journal rank", [22] contrary to widespread expectations.
Journal of International Financial Management and Accounting: 0954-1314: 0.466 John Wiley & Sons [46] Sidney Gray, University of Sydney Richard Levich, New York University [46] Journal of Management Accounting Research: 1049-2127: 0.743 American Accounting Association [47] Ranjani Krishnan, Michigan State University [47] Journal of Taxation ...
The following journals are considered open access: Bayesian Analysis; Brazilian Journal of Probability and Statistics; Chilean Journal of Statistics; Electronic Journal of Statistics; Journal of Official Statistics; Journal of Modern Applied Statistical Methods; Journal of Statistical Software; Journal of Statistics Education
The Journal of Risk is a bimonthly peer-reviewed academic journal covering financial risk management. It was established in 1999 and is published by Incisive Risk Information. The editor-in-chief is Farid AitSahlia (University of Florida). According to the Journal Citation Reports, the journal has a 2016 impact factor of 0.375. [1]