《Journal Of Risk Finance》是一本以English為主的未開放獲取國際優(yōu)秀期刊,中文名稱風(fēng)險(xiǎn)金融雜志,本刊主要出版、報(bào)道領(lǐng)域的研究動(dòng)態(tài)以及在該領(lǐng)域取得的各方面的經(jīng)驗(yàn)和科研成果,介紹該領(lǐng)域有關(guān)本專業(yè)的最新進(jìn)展,探討行業(yè)發(fā)展的思路和方法,以促進(jìn)學(xué)術(shù)信息交流,提高行業(yè)發(fā)展。該刊已被國際權(quán)威數(shù)據(jù)庫SCIE收錄,為該領(lǐng)域相關(guān)學(xué)科的發(fā)展起到了良好的推動(dòng)作用,也得到了本專業(yè)人員的廣泛認(rèn)可。該刊最新影響因子為5.7,最新CiteScore 指數(shù)為6.2。
英文介紹
Journal Of Risk Finance雜志英文介紹
The Journal of Risk Finance is an international academic journal focused on risk management and finance. This magazine publishes research articles on financial markets, investment strategies, corporate financial risks, as well as risk control and regulatory policies. It aims to provide a platform for scholars, practitioners, and policy makers to discuss and disseminate academic research on risk finance.
The distinctive feature of the magazine lies in its multidisciplinary research perspective, covering fields such as economics, finance, management, and law, as well as applied research on practical financial issues. These studies help to enhance the risk awareness and response capabilities of financial institutions, while also providing scientific basis for policy-making.