Default: Journal of Banking and Finance

ISSN: 0378-4266

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Journal of Banking and Finance Q1 Unclaimed

Elsevier Netherlands
Unfortunately this journal has not been claimed yet. For this reason, some information may be unavailable.

Journal of Banking and Finance is a journal indexed in SJR in Economics and Econometrics and Finance with an H index of 161. It has an SJR impact factor of 1,58 and it has a best quartile of Q1. It is published in English. It has an SJR impact factor of 1,58.

Journal of Banking and Finance focuses its scope in these topics and keywords: risk, impact, evidence, banking, credit, bank, domestic, directors, dimensions, default, ...

Type: Journal

Type of Copyright:

Languages: English

Open Access Policy:

Type of publications:

Publication frecuency: -

Price

- €

Inmediate OA

NPD

Embargoed OA

- €

Non OA

Metrics

Journal of Banking and Finance

1,58

SJR Impact factor

161

H Index

228

Total Docs (Last Year)

616

Total Docs (3 years)

12077

Total Refs

2307

Total Cites (3 years)

613

Citable Docs (3 years)

3,15

Cites/Doc (2 years)

52,97

Ref/Doc

Aims and Scope


risk, impact, evidence, banking, credit, bank, domestic, directors, dimensions, default, estate, financial, firm, foreclosures, foreign, funding, governance, government, decision, coverage, costefficiency, approachis, arrival, bankingendogenously, banksconcentration, boards, companiesissues, china’s, chinathe, choices, competition, control, corporate,



Best articles by citations

Deposit insurance and the risk premium in bank deposit rates

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The link between bank monitoring and corporate dividend policy: The case of dividend omissions

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The federal deposit insurance fund that didn't put a bite on U.S. taxpayers

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The reaction of bank stock prices to news of derivatives losses by corporate clients

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European lessons on consolidation in banking

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Fixed costs and the behavior of the federal funds rate

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A note on economic news and intraday exchange rates

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What should regulators do about merger policy?

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Risk aversion and the yield of corporate debt

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Efficient investment and financial intermediation

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Portfolio selection under institutional procedures for short selling: Normative and market-equilibrium considerations

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Scale and scope economies at large banks: Including off-balance sheet products and regulatory effects (1984-1991)

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Stochastic volatility, movements in short term interest rates, and bond option values

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Implications of superhero metaphors for the issue of banking powers

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Repeated acquirers in FDIC assisted acquisitions

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The information content in bond model residuals: An empirical study on the Belgian bond market

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Short interest and the asymmetry of the price-volume relationship in the Canadian stock market

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The effects of declining capitalization on equity acquisition by commercial banks

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Debt and market incompleteness

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Foreign acquisitions in the United States: Effect on shareholder wealth of foreign acquiring firms

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"Clicks and bricks":

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An introduction to the mathematics of financial derivatives

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The wealth effects of deregulation of Canadian financial institutions

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The wealth effects of interstate branching

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