Journal of International Financial Markets, Institutions and Money

eISSN: 1873-0612pISSN: 1042-4431

Journal formatting to fit the target journal guidelines

Experts ensure all elements of your paper match journal formatting guidelines to improve publication success rate!

Key Metrics

CiteScore
6.2
SNIP
2.16
7
Time to Publish
time-to-publish View Chart
8  Mo

Journal Specifications

Overview
  • Publisher
    ELSEVIER
  • Language
    English
  • Frequency
    Bi-monthly
General Details
View less
Time to Publish
Time to publish distribution
Articles published in year 2022
Time to publish index
Months% Papers published
0-3 5%
4-6 26%
7-9 38%
>9 32%

Topics Covered

Credit risk
Middle East
Stock market
Risk premium
Money market
Tax avoidance
Investor protection
Financial crisis
Financial market
Credit rating
Capitalism
Pandemic
Market abuse
Distribution of wealth
Risk perception
Stock liquidity
Speculative demand
Corporate governance
Default risk
Systemic risk

Recently Published Papers

Year-wise Publication

FAQs

Since when has Journal of International Financial Markets, Institutions and Money been publishing? Faqs

The Journal of International Financial Markets, Institutions and Money has been publishing since 1990 till date.

How frequently is the Journal of International Financial Markets, Institutions and Money published? Faqs

Journal of International Financial Markets, Institutions and Money is published Bi-monthly.

Who is the publisher of Journal of International Financial Markets, Institutions and Money? Faqs

The publisher of Journal of International Financial Markets, Institutions and Money is ELSEVIER.

How can I view the journal metrics of Journal of International Financial Markets, Institutions and Money on editage? Faqs

For the Journal of International Financial Markets, Institutions and Money metrics, please refer to the section above on the page.

What is the eISSN and pISSN number of Journal of International Financial Markets, Institutions and Money? Faqs

The eISSN number is 1873-0612 and pISSN number is 1042-4431 for Journal of International Financial Markets, Institutions and Money.

What is the focus of this journal? Faqs

The journal covers a wide range of topics inlcuding Credit risk, Middle East, Stock market, Risk premium, Money market, Tax avoidance, Investor protection, Financial crisis, Financial market, Credit rating, Capitalism, Pandemic, Market abuse, Distribution of wealth, Risk perception, Stock liquidity, Speculative demand, Corporate governance, Default risk, Systemic risk.

Why is it important to find the right journal for my research? Faqs

Choosing the right journal ensures that your research reaches the most relevant audience, thereby maximizing its scholarly impact and contribution to the field.

Can the choice of journal affect my academic career? Faqs

Absolutely. Publishing in reputable journals can enhance your academic profile, making you more competitive for grants, tenure, and other professional opportunities.

Is it advisable to target high-impact journals only? Faqs

While high-impact journals offer greater visibility, they are often highly competitive. It's essential to balance the journal's impact factor with the likelihood of your work being accepted.