SCOPUS
Journal of Risk Management in Financial Institutions
Henry Stewart Publications, United Kingdom
Journal of Risk Management in Financial Institutions is an academic journal published by Henry Stewart Publications (United Kingdom). Identifiers: ISSN 1752-8887, eISSN 1752-8895. Indexed in SCOPUS. Metrics: CiteScore 1.1, SJR 0.259, SNIP 0.42. tlooto lists 650 papers from this journal.
CiteScore
1.10
Scopus citation metric
SJR
0.259
SCImago rank
SNIP
0.42
Source normalized impact
Percentage rank
-
JIF percentile rank
Journal profile
- ISSN
- 1752-8887
- eISSN
- 1752-8895
- Abbreviation
- -
- Publisher
- Henry Stewart Publications
- Country
- United Kingdom
Web of Science categories
No Web of Science category data available.
Scopus ASJC categories
1804 Statistics2003 Finance2613 Statistics and Probability
Papers in this journal
Recent papers
- Towards a Governance Barometer for stormy times in emerging markets
2026
- From latent risk to market collapse: Explaining flash crashes through the Swiss Cheese Model
2026
- Bridging the viability gap of microinsurance
2026
- Comparative Financial Regulation
2026
- ‘Interesting times’ in financial risk management
2026
Most cited papers
- A stochastic processes toolkit for risk management: Geometric Brownian motion, jumps, GARCH and variance gamma models
2007 · 122 citations
- Risk governance at large banks: Have any lessons been learned?
2010 · 97 citations
- The impact of bank mergers on liquidity creation
2010 · 48 citations
- Stress tests to promote financial stability: Assessing progress and looking to the future
2013 · 45 citations
- From risk management to ERM
2009 · 40 citations