Default: Journal of Finance

ISSN: 0022-1082

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Journal of Finance Q1 Unclaimed

Wiley-Blackwell Publishing Ltd United Kingdom
Unfortunately this journal has not been claimed yet. For this reason, some information may be unavailable.

Journal of Finance is a journal indexed in SJR in Economics and Econometrics and Accounting with an H index of 285. It has a price of 2100 €. It has an SJR impact factor of 17,134 and it has a best quartile of Q1. It is published in English.

Type: Journal

Type of Copyright:

Languages: English

Open Access Policy:

Type of publications:

Publication frecuency: -

Price

2100 €

Gold OA

-

Green OA

0 €

Non OA

Metrics

Journal of Finance

17,134

SJR Impact factor

285

H Index

78

Total Docs (Last Year)

206

Total Docs (3 years)

4022

Total Refs

1689

Total Cites (3 years)

205

Citable Docs (3 years)

7,59

Cites/Doc (2 years)

51,56

Ref/Doc


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A Comparison of Centralized and Fragmented Markets with Costly Search

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A Financial Early Warning System For Over-The-Counter Broker-Dealers

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A First Look at the Accuracy of the CRSP Mutual Fund Database and a Comparison of the CRSP and Morningstar Mutual Fund Databases

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A MEAN-VARIANCE THEORY OF OPTIMAL CAPITAL STRUCTURE AND CORPORATE DEBT CAPACITY

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A Nonlinear Factor Analysis of S&P 500 Index Option Returns

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A Possible Explanation of the Small Firm Effect

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A Simple and Numerically Efficient Valuation Method for American Puts Using a Modified Geske-Johnson Approach

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A Theory of Capital Structure Relevance under Imperfect Information

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Agency Conflicts in Public and Negotiated Transfers of Corporate Control

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Agency, Firm Growth, and Managerial Turnover

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American Banking Structure.

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An Equilibrium Analysis of Debt Financing under Costly Tax Arbitrage and Agency Problems

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An Examination of Stock Market Return Volatility During Overnight and Intraday Periods, 1964-1989

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Are Firms Underleveraged? An Examination of the Effect of Leverage on Default Probabilities

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Attracting Flows by Attracting Big Clients

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Book Reviews

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Capital Share Dynamics When Firms Insure Workers

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Capital Share Risk in U.S. Asset Pricing

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Cash Flow, Consumption Risk, and the Cross-section of Stock Returns

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CEO Contracting and Antitakeover Amendments

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Clearly Irrational Financial Market Behavior: Evidence from the Early Exercise of Exchange Traded Stock Options

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CO-INSURANCE AND CONGLOMERATE MERGER

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Comparative Usage of Bond-Warrant and Convertible Bond Issues

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