International Journal of Finance and Economics

短名Int J Fin Econ
Journal Impact2.60
国际分区BUSINESS, FINANCE(Q2)
期刊索引SCI Q2中科院 3 区
ISSN1076-9307, 1099-1158
h-index52
国内分区经济学(3区)经济学商业财政与金融(4区)

期刊主页
涉及主题经济业务财务货币经济学宏观经济学数学计量经济学金融经济学计算机科学政治学法学历史地理统计哲学考古凯恩斯经济学生物工程类物理
出版信息出版商: John Wiley and Sons Ltd出版周期: 期刊类型: journal
基本数据创刊年份: 1996原创研究文献占比99.39%自引率:7.10%Gold OA占比: 21.64%

期刊引文格式

这些示例是对学术期刊文章的引用,以及它们应该如何出现在您的参考文献中。

并非所有期刊都按卷和期组织其已发表的文章,因此这些字段是可选的。有些电子期刊不提供页面范围,而是列出文章标识符。在这种情况下,使用文章标识符而不是页面范围是安全的。

只有1位作者的期刊

有2位作者的期刊

有3位作者的期刊

有5位以上作者的期刊

书籍引用格式

以下是创作和编辑的书籍的参考文献的示例。

学位论文引用格式

网页引用格式

这些示例是对网页的引用,以及它们应该如何出现在您的参考文献中。

专利引用格式

最新文章

Monetary policy and equity returns: The role of investor risk aversion

2024-9-17

Do the specific characteristics of female directors work as alternative governance mechanisms to restrict earnings management in a developing country?

2024-9-2

International mergers and acquisitions and institutional differences: An integrated approach

2024-8-30

Islamic mutual funds: Seasonal patterns and determinants of performance across regions

2024-8-29

Corporate capital structure in <scp>BRICS</scp> economies: An integrated analysis of <scp>ESG</scp>, firm, industry, and macroeconomic determinants

2024-8-28

A portfolio diversification measure in the unit interval: A coherent and practical approach

2024-8-27

The moderating role of governance on the nexus of financial crime and sustainable development

2024-8-27

Corporate cash policy and double machine learning

2024-8-22

Does climate risk vulnerability affect the value of excess cash? International evidence

2024-8-20

The term structure of interest rates as predictor of stock market volatility

2024-8-16

Reputational risk and target selection: An evidence from <scp>China</scp>

2024-8-15

An integrative model for understanding cryptocurrency investment‐related behaviours: A comparison between millennials and pre‐millennials

2024-8-15

Patented innovation and left‐tail risk: Evidence from China

2024-8-15

The impact of new millennium crises on the power of Islamic banks in deposit markets

2024-8-14

Green banks versus non‐green banks: A financial stability comparative analysis in terms of <scp>CAMEL</scp> ratios

2024-8-14

Is transparency in sustainability the fruit of business trust: Evidence from sustainability disclosure?

2024-8-10

Connectedness in exchange rates and news sentiment in the Asia‐Pacific region

2024-8-10

Climate risk and trade credit financing: Evidence from China

2024-8-1

Spillover effects in the nexus of finance‐institutions‐growth: New insights from spatial Durbin analysis on emerging economies

2024-7-31

The effect of shareholder pressure on stakeholder interests: Evidence from corporate tax avoidance

2024-7-30

The impact of economic policy uncertainty on earnings value relevance

2024-7-30

Negative interest rate policy and bank risk‐taking: Search for yield or de‐leverage?

2024-7-30

The role of firm life cycle on capital structure of family firms over non‐family firms: Empirical evidence from India

2024-7-21

Multi‐class financial distress prediction based on stacking ensemble method

2024-7-18

Is inflation targeting effective? Lessons from global financial crisis and <scp>COVID</scp>‐19 pandemic

2024-7-9

<scp>ESG</scp> peer effects and corporate financial distress: An executive social network perspective

2024-7-2

Issue Information

2024-7-1

Total, quantile, and frequency risk transmission among metal commodities

2024-7-1

Forecasting reserve risk for temporal dependent losses in insurance

2024-6-26

Can green bonds be a safe haven for equity investors?

2024-6-25

Banking market consolidation in Asia: Evidence from acquirers, targets, and rivals

2024-6-23

<scp>COVID‐19</scp> and insurance industry: Initial impact of the pandemic based on time‐frequency methods

2024-6-18

The scientific tale of the nexus between oil prices, macroeconomic uncertainty and Pakistan's exports to its major trading partners: Insights from advanced methods

2024-6-4

Do responsible practices lead to higher firm productivity? Evidence from Europe

2024-6-3

Sovereign bonds' risk‐based heterogeneity

2024-5-30

Growth potential of machine learning in credit risk predicting of farmers in the industry 4.0 era

2024-5-30

A note on the determinants of non‐fungible tokens returns

2024-5-30

The role of market discipline and macroprudential policies in achieving bank stability

2024-5-27

Sustainable investing in emerging markets: Evidence from the Sustainable Stock Exchanges <scp>initiative</scp>

2024-5-27

Economic policy uncertainty and credit risk in microfinance: A cross‐country analysis

2024-5-22

Embedded theoretical quality option pricing in Treasury bond futures—Starting from the definition deviation of conversion factor

2024-5-22

Can digital <scp>M&amp;A</scp> reduce the stock price crash risk?

2024-5-17

Commodity price volatility, institutions and economic growth: An empirical investigation

2024-5-17

Market supervisor monetary penalties for non‐compliance with informational requirements: Do investors care?

2024-5-14

The impact of inflation on inequality in the CEMAC and <scp>UEMOA</scp> zones of Sub‐Saharan Africa

2024-5-13

Factors affecting firm‐level job cuts during the <scp>COVID</scp>‐19 pandemic: A cross‐country evidence

2024-5-9

Bilateral investment treaties and sovereign default risk: Evidence for emerging markets

2024-5-8

Green intent or black smoke: Exploring investor sentiment on sustainable development

2024-5-8

Does financial stability communication affect financial asset prices? Evidence from the Bank of England's communication experiment

2024-5-8

帮你贴心管理全部的文献

研飞ivySCI,高效的论文管理

投稿经验分享

分享我的经验,帮你走得更远

Built withby Ivy Science
Copyright © 2020-2024
版权所有:南京青藤格致信息科技有限公司