verified
SJR 0,151 · Q3
•
database
Scopus / SJR indexed
United Kingdom · Taylor and Francis Ltd.
workspace_premium
Q3 — Economics, Econometrics and Finance (miscellaneous)
lock
Subscription
Journal of Real Estate Portfolio Management
Journal of Real Estate Portfolio Management is a journal indexed in SJR in Economics, Econometrics and Finance (miscellaneous) and Management Information Systems with an H index of 24. It has an SJR impact factor of 0,151 and it has a best quartile of Q3. It is published in English. It has an SJR impact factor of 0,151.
ISSN: 1083-5547
Publisher: Taylor and Francis Ltd.
Category: Economics, Econometrics and Finance (miscellaneous)
Indexation:
verifiedScopus / SJR
open_in_new Portal NPD
menu_book Guidelines NPD
schedule
CountryOfPapers database fields
SJR Impact Factor
trending_up
0,151
Q3
H-index
24
Acceptance rate
pie_chart
41%
Source
Acceptance_Rate
Time to publication
hourglass_top
NPD
Field
NPD
Publication cost (APC)
payments
NPD
Subscription
Non-OA path
NPD
Metrics
Scimago and CountryOfPapers database fields
Scopus / SJR
SJR Impact
0,151
H-index
24
Docs (year)
14
Docs 3y
12
Total refs
712
Cites 3y
7
Citable 3y
12
Cites/Doc 2y
0.6
Ref/Doc
50.86
Immediate OA
—
Embargoed OA
NPD
Non OA / Submission
—
shield
Researcher voice
Name good journals. Call out predatory ones.
Share what peer review, fees, and timelines were really like. Praise fair editors. Flag APC traps, fake metrics, or spam solicitations — with facts from your submission.
Fair & fast peer review
Clear APC / no surprise fees
Suspected predatory
Fake impact claims
Researcher reviews
sentiment_dissatisfied
No reviews yet — be the first to share an honest experience.