ISSN: 1566-0141
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Emerging Markets Review Q1 Unclaimed
Emerging Markets Review is a journal indexed in SJR in Economics and Econometrics and Business and International Management with an H index of 69. It has an SJR impact factor of 1,179 and it has a best quartile of Q1. It is published in English. It has an SJR impact factor of 1,179.
Type: Journal
Type of Copyright:
Languages: English
Open Access Policy: Open Choice
Type of publications:
Publication frecuency: -
- €
Inmediate OANPD
Embargoed OA0 €
Non OAMetrics
1,179
SJR Impact factor69
H Index92
Total Docs (Last Year)190
Total Docs (3 years)5856
Total Refs1200
Total Cites (3 years)189
Citable Docs (3 years)6.54
Cites/Doc (2 years)63.65
Ref/DocOther journals with similar parameters
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Annual Review of Economics Q1
Journal of Accounting and Economics Q1
Foundations and Trends in Finance Q1
Review of Finance Q1
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Aims and Scope
Best articles by citations
An alternative perspective on the relationship between downside beta and CAPM beta
View moreInternational cross-listing and stock pricing efficiency: An empirical study
View moreDemography, credit and institutions: A global perspective
View moreFinancial densities in emerging markets: an application of the multivariate ES density
View moreRating timing differences between the two leading agencies: Standard and Poor's and Moody's
View moreDepositary receipts and firm value: Evidence from Central Europe and Russia
View moreWhich firms are more prone to stock market manipulation?
View moreInterdependence of international equity variances: Evidence from East Asian markets
View moreCan institutions and macroeconomic factors predict stock returns in emerging markets?
View moreMacroeconomic factors and emerging market equity returns: a Bayesian model selection approach
View moreThe persistence of emerging market equity flows
View moreBelt and road initiative and Chinese firms' outward foreign direct investment
View moreIs locking domestic funds into the local market beneficial? Evidence from the Polish pension reforms
View moreRisk governance and Asian bank performance: An empirical investigation over the financial crisis
View morePoland: a successful transition to budget sustainability?
View moreThe Korean financial crisis: an asymmetric information perspective
View moreHousekeeping and plumbing: the investability of emerging markets
View moreMacroeconomic shocks and the co-movement of stock returns in Latin America
View moreMarket structure, liquidity, and information based trading at the Prague Stock Exchange
View moreThe price impact of futures trades and their intraday seasonality
View moreSector level cost of equity in African financial markets
View moreMacroeconomic shocks, bank stability and the housing market in Venezuela
View moreFinancing decisions and gains from cross-border acquisitions by emerging-market acquirers
View moreUnderstanding reserve volatility in emerging markets: a look at the long-run
View more
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