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Journal of Risk Finance
EMERALD GROUP PUBLISHING LTD, United Kingdom
Journal of Risk Finance is an academic journal published by EMERALD GROUP PUBLISHING LTD (United Kingdom). Identifiers: ISSN 1526-5943, eISSN 2331-2947. Indexed in SCIE, SCOPUS. Metrics: JIF 4.7, CiteScore 8.4, SJR 0.821, SNIP 1.03. Subject areas: BUSINESS, FINANCE. tlooto lists 70 papers from this journal.
CiteScore
8.40
Scopus citation metric
SJR
0.821
SCImago rank
SNIP
1.03
Source normalized impact
Percentage rank
-
JIF percentile rank
Journal profile
- ISSN
- 1526-5943
- eISSN
- 2331-2947
- Abbreviation
- J RISK FINANC
- Publisher
- EMERALD GROUP PUBLISHING LTD
- Country
- United Kingdom
Web of Science categories
No Web of Science category data available.
Scopus ASJC categories
1402 Accounting2003 Finance
Papers in this journal
Recent papers
- Asymmetric impact of ESG performance on systematic risk: exploring beta plus and beta minus dynamics
2026
- Impact of economic and geopolitical factors on Lebanese banks' stock prices
2026
- Category-specific effects of digital trust on third-party risks in the banking industry
2026
- How digital platforms and CSRD drive inclusive and sustainable employment opportunities: a data-driven analysis
2026
- What drives the quality of corporate ESG disclosures?
2026
Most cited papers
- Institutions, digital investment potential and productivity growth in EU and Southeast Asia
2025 · 9 citations
- Financial risk and investment in artificial intelligence in the USA: a fresh evidence from quantile wavelet regression and quantile wavelet correlation tests
2025 · 9 citations
- From ESG to risk-taking and financial stability: is board gender diversity the missing link in Islamic and conventional GCC banks?
2025 · 7 citations
- Analyzing how energy vulnerability, energy efficiency and economic complexity impact climate change: comparative evidence from G7 and BRICST economies
2025 · 7 citations
- The determinants of banking crises: a comprehensive evidence
2025 · 5 citations