ISSN: 1540-496X
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Emerging Markets Finance and Trade Q1 Unclaimed
Emerging Markets Finance and Trade is a journal indexed in SJR in Finance and Economics, Econometrics and Finance (miscellaneous) with an H index of 58. It has an SJR impact factor of 0,781 and it has a best quartile of Q1. It is published in English. It has an SJR impact factor of 0,781.
Type: Journal
Type of Copyright:
Languages: English
Open Access Policy:
Type of publications:
Publication frecuency: -


- €
Inmediate OANPD
Embargoed OA- €
Non OAMetrics
0,781
SJR Impact factor58
H Index306
Total Docs (Last Year)753
Total Docs (3 years)14368
Total Refs3360
Total Cites (3 years)744
Citable Docs (3 years)3.42
Cites/Doc (2 years)46.95
Ref/DocOther journals with similar parameters
American Economic Journal: Applied Economics Q1
Journal of Accounting and Economics Q1
Foundations and Trends in Finance Q1
Review of Finance Q1
Journal of Management Q1
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Aims and Scope
Best articles by citations
Can Information Transparency Improve Earnings Quality Attributes? Evidence from an Enhanced Disclosure Regime in Taiwan
View moreSovereign Risk and Natural Disasters in Emerging Markets
View moreFinancial Development and Income Inequality: Long-Run Relationship and Short-Run Heterogeneity
View moreThe Effects of Corporate Board and CEO Characteristics on Firm Value: Empirical Evidence from Listed Companies on the Bucharest Stock Exchange
View moreDrivers of Exchange Rate Dynamics in Selected CIS Countries: Evidence from a Factor-Augmented Vector Autoregressive (FAVAR) Analysis
View moreThe Capital Markets of the Middle East and North African Region: Situation and Characteristics
View moreHot Money and Business Cycle Volatility: Evidence from Selected ASEAN Countries
View moreProfitability of Nonlinear Dynamics Under Technical Trading Rules: Evidence from Pacific Basin Stock Markets
View moreDoes Fiscal Decentralization Promote Fiscal Discipline?
View moreDeterminants of Currency Crises in Emerging Markets: The Case of Turkey
View moreGlobalization and Changing Inflation Dynamics in China
View moreProlonged Reserves Accumulation, Credit Booms, Asset Prices and Monetary Policy in Asia
View moreRisks in the North Korean Special Economic Zone: Context, Identification, and Assessment
View moreDoes Foreign Direct Investment Promote Human Capital Accumulation? The Role of Gradual Financial Liberalization
View moreVolatility Spillover in Regional Emerging Stock Markets: A Structural Time-Series Approach
View moreDoorsteps Toward Political and Economic Openness: Testing the North-Wallis-Weingast Transition Framework
View moreAn Empirical Analysis of the Risk-Taking Channel of Monetary Policy in Turkey
View moreBusiness Cycle Synchronization of Turkey with the Eurozone and the United States: What Has Changed Since 2001?
View moreA Novel Credit Evaluation Model Based on the Maximum Discrimination of Evaluation Results
View moreOvercoming the Middle-Income Challenge
View moreDo Enhanced Index Funds Truly Have Enhanced Performance? Evidence from the Chinese Market
View moreWill Political Connections Be Accounted for in the Interest Rates of Chinese Urban Development Investment Bonds?
View moreCorporate Financial Decisions, Capital Markets, and Employment in Asia-Pacific Economies
View moreFacing the Regulators: Noncompliance With Detailed Mandatory Compensation Disclosure in Brazil
View more
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