ISSN: 0972-6527
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Journal of Emerging Market Finance Q3 Unclaimed
Journal of Emerging Market Finance is a journal indexed in SJR in Economics and Econometrics and Finance with an H index of 22. It has an SJR impact factor of 0,323 and it has a best quartile of Q3. It has an SJR impact factor of 0,323.
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Open Access Policy:
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Publication frecuency: -



- €
Inmediate OANPD
Embargoed OA- €
Non OAMetrics
0,323
SJR Impact factor22
H Index23
Total Docs (Last Year)40
Total Docs (3 years)1222
Total Refs65
Total Cites (3 years)39
Citable Docs (3 years)1.14
Cites/Doc (2 years)53.13
Ref/DocOther journals with similar parameters
German Economic Review Q3
Cogent Economics and Finance Q3
Journal of Financial Counseling and Planning Q3
NETNOMICS: Economic Research and Electronic Networking Q3
Journal of Revenue and Pricing Management Q3
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Aims and Scope
Best articles by citations
Price and Volatility Linkages Between Indian Stocks and Their European GDRs
View moreUnique Calendar Effects in the Indian Stock Market: Evidence and Explanations
View moreDevelopment Financial Institutions, Financial Constraints and Growth: Evidence from the Indian Corporate Sector
View moreMacroeconomic Effects on Emerging Market Sector Indices
View moreThreshold Effect of Bank-specific Determinants of Non-performing Assets: An Application in Indian Banking
View moreFinancial Development, Internationalisation and Firm Value
View moreTunisian Dealer Behaviour in FX Market
View moreA Mathematical Demonstration of the Viability of Profit/Loss Sharing as a Debt Alternative in Presence of Market Frictions
View moreOn the Dynamic Transmission of Mean and Volatility across the Arab Stock Markets
View moreCan Investments in Emerging Markets Help to Solve the Ageing Problem?
View moreReal Convergence and the EU Accession Countries
View moreUS-Thailand Bilateral Safety-first Portfolio Optimisation around the 1997 Asian Financial Crisis
View moreEmpirical Modelling of Capital Structure
View moreDo Asset Pricing Models Explain Size, Value, Momentum and Liquidity Effects? The Case of an Emerging Stock Market
View moreCAPM in Up and Down Markets
View moreRegime-Switching Behaviour in the Conditional Volatility of MENA Stock Market Returns
View moreHas the Global Financial Crisis Changed the Market Response to Credit Ratings? Evidence from an Emerging Market
View moreHot or Cold? A Comparison of Different Approaches to the Pricing of Weather Derivatives
View moreAn Investigation into the Economics of Extending Bank Powers
View moreStochastic Volatility and Option Pricing in the Brazilian Stock Marke
View moreOn the Viability of Group Lending when Microfinance Meets the Market
View moreAn Empirical Analysis of the Off-Balance Sheet Activities of Indian Banks
View moreThe Influence of E-disclosure on the Ex-Ante Cost of Capital of Listed Companies in Brazil
View moreSectoral Loan Portfolio Concentration and Bank Stability: Evidence from an Emerging Economy
View more
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