ISSN: 1572-3089
Journal Home
Journal Guideline
Journal of Financial Stability Q1 Unclaimed
Journal of Financial Stability is a journal indexed in SJR in Finance and Economics, Econometrics and Finance (miscellaneous) with an H index of 81. It has an SJR impact factor of 2,074 and it has a best quartile of Q1. It is published in English. It has an SJR impact factor of 2,074.
Type: Journal
Type of Copyright:
Languages: English
Open Access Policy: Open Choice
Type of publications:
Publication frecuency: -


- €
Inmediate OANPD
Embargoed OA0 €
Non OAMetrics
2,074
SJR Impact factor81
H Index119
Total Docs (Last Year)225
Total Docs (3 years)7142
Total Refs1730
Total Cites (3 years)220
Citable Docs (3 years)4.67
Cites/Doc (2 years)60.02
Ref/DocOther journals with similar parameters
Journal of Management Q1
American Economic Journal: Applied Economics Q1
Journal of Accounting Research Q1
Review of Finance Q1
American Economic Journal: Economic Policy Q1
Compare this journals
Aims and Scope
Best articles by citations
The subprime crisis and its consequences
View moreCorrigendum to "Editorial -Data Standards, Information and Financial Stability" [J. Financ. Stab. 27 (2016) 155-159]
View moreA new monthly chronology of the US industrial cycles in the prewar economy
View moreBankruptcy laws and debt renegotiation
View moreFlexible and mandatory banking supervision
View moreThe reaction of asset prices to macroeconomic announcements in new EU markets: Evidence from intraday data
View moreMultiple safety net regulators and agency problems in the EU: Is Prompt Corrective Action partly the solution?
View moreBeyond common equity: The influence of secondary capital on bank insolvency risk
View moreDid the introduction of fixed-rate federal deposit insurance increase long-term bank risk-taking?
View moreThe misconception of the option value of deposit insurance and the efficacy of non-risk-based capital requirements in the literature on bank capital regulation
View moreFinancial distress and resolution: Introduction to the focused issue
View moreDiscussion of shadow reports
View moreInternational diversification and risk of multinational banks: Evidence from the pre-crisis period
View moreCyclicality of growth opportunities and the value of cash holdings
View moreHow banks respond to Central Bank supervision: Evidence from Brazil
View moreMeasuring potential market risk
View moreCatharsis - The real effects of bank insolvency and resolution
View moreThe information content of Basel III liquidity risk measures
View moreIs there a bright side to government banks? Evidence from the global financial crisis
View moreHow should we measure bank capital adequacy for triggering Prompt Corrective Action? A (simple) proposal
View moreA cross-country analysis of bank bankruptcy regimes
View moreA shot at regulating securitization
View moreStructural changes and the role of monetary aggregates in the UK
View moreFailed bank takeovers and financial stability
View more
Comments