Journal of Risk and Financial Management 期刊简称 Print ISSN 1911-8066 Online ISSN 1911-8074 期刊出版社 是否开放获取 Open Access,OA 暂无数据 官网地址 期刊所属领域 期刊简介 JCR分区索引信息2021年数据 是否是SCIE(SCI) 注:SCI已经完全被SCIE取代,参考:SCI被取代 ...
Journal of Risk and Financial Management ESCI PubMed 发文量 2,844 被引量 20,334 影响因子(2023) 2.589主办单位: MDPI AG 出版地区: Switzerland 出版周期: 不定期 国际标准连续出版物号: ISSN 1911-8066 创刊时间: 2008年 收录汇总 栏目浏览 期刊详情 收录汇总 出版文献 期刊详情 分析评价 ...
【Journal of Financial Risk Management(JFRM)特刊征稿 | 财务风险、运营风险和业务风险】财务风险、运营风险和业务风险是企业经营过程中可能面临的三种关键类型的风险。具体说来,财务风险与金融交易有关,而操...
同时,Journal of Financial Risk Management 还注重与其他学术机构的合作和交流,为该期刊的作者和读者提供更多的学术资源和机会。该期刊与多个国际知名学术机构和出版社建立了合作关系,共同推动金融风险管理领域的发展。 总之,Journal of Financial Risk Management 是一本高水平的学术期刊,致力于为金融风险管理领域的学者...
International Journal of Accounting, Finance and Risk Management Financial Cataclysm of Terror International Journal of Accounting, Finance and Risk Management Financial Cataclysm of TerrorThe article is talking about terror and specially its catastrophic effects on economy and financing process across the ...
JournalofRiskandFinancialManagement40JRFM41Editorial 系统标签: jrfmfinancialriskjournalmanagementeditorial J.RiskFinancialManag.2013,6,1-3;doi:10.3390/jrfm6010001 Journalof RiskandFinancial Management ISSN1911-8074 .mdpi/journal/jrfm Editorial TheJournalofRiskandFinancialManagementinOpenAccess MichaelMcAleer ...
ano 期刊名称:《Journal of Risk and Financial Management》 | 2020年第10期 关键词: corporate governanceinformation disclosuretimeliness of financial reportinglaw violationprivate firms;4.Investor Overconfidence and Trading Activity in the Asia Pacific REIT Markets 机译:投资者在亚太地区瑞特市场过度信任和...
The Journal of Risk and Financial Management in Open Access Michael McAleer Testing for a Single-Factor Stochastic Volatility in Bivariate Series Masaru Chiba,Masahito Kobayashi A Non-Parametric and Entropy Based Analysis of the Relationship between the VIX and S&P 500 ...
Journal of Risk Management in Financial Institutions is the essential professional and research journal for all those concerned with the management of risk at retail and investment banks, investment managers, broker-dealers, hedge funds, exchanges, central banks, financial regulators and depositories. ...