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SSCI外文期刊 中科分区:2区 期发文量:8 国人占比:8.00% 影响因子:0.0000
Journal of Risk and Insurance《风险与保险杂志》(季刊). The Journal of Risk and Insurance (JRI) is the premier outlet for theoretical and empirical research on the topics of insurance economics and risk management. Research in the JRI informs practice, policy-making, and regulation in insurance markets as well as corporate and household risk management.
22 The Journal of Risk《风险杂志》(官网投稿)
SSCI外文期刊 中科分区:4区 期发文量:4 国人占比:8.33% 影响因子:0.0000
The Journal of Risk《风险杂志》(双月刊). This international peer-reviewed journal publishes a broad range of original research papers which aim to further develop understanding of financial risk management. As the only publication devoted exclusively to theoretical and empirical studies in financial risk management, The Journal of Risk promotes far-reaching research on the latest innovations in this field, with particular focus on the measurement, management and analysis of financial risk.
SSCI外文期刊 中科分区:4区 期发文量:5 国人占比:12.50% 影响因子:0.0000
Journal of Real Estate Research《房地产研究杂志》(季刊). The Journal of Real Estate Research (JRER) is a publication of the American Real Estate Society (ARES). The Journals objective is to investigate and expand the frontiers of knowledge that cover business applications through scholarly real estate research. JRER is committed to publishing the highest quality analytical, empirical, and clinical research useful to business decision-makers in the fields of real estate development, economics, finance, investment, law, management, marketing, secondary markets, and valuation.
SSCI外文期刊 中科分区:4区 期发文量:6 国人占比:16.67% 影响因子:0.0000
The Journal of Real Estate Finance and Economics《房地产财经杂志》 (一年8期). There has been an expansion of theoretical and empirical research on real estate using the paradigms and methodologies of finance and economics. Examples of this research include the working and structure of markets, the role of various institutional arrangements, the attention given mortgages and asset securitization, risk management and valuation, and public policy and regulation. The Journal of Real Estate Finance and Economics provides a forum for the publication of this research. The subject areas in which the papers published in the journal include urban economics, housing, regional science and public policy.
SSCI外文期刊 中科分区:4区 期发文量:12 国人占比:0.00% 影响因子:0.0000
The Journal of Portfolio Management《投资组合管理期刊》(一年10期). The Journal of Portfolio Management (JPM) is a definitive source of thought-leading analyses and practical techniques that many institutional investors turn to for insight on the financial markets. Every issue of the JPM features articles by highly-renowned academics, researchers, and practitioners—including Nobel laureates—whose works define modern portfolio theory. The JPM offers cutting-edge research on all major topics in investments, including asset allocation, performance measurement, market trends, portfolio optimization, and risk management.
26 Journal of Safety Research《安全研究杂志》(官网投稿)
SSCI外文期刊 中科分区:2区 期发文量:39 国人占比:11.21% 影响因子:0.0000
Journal of Safety Research《安全研究杂志》(季刊). The Journal of Safety Research is a multidisciplinary publication that provides for the exchange of scientific evidence in all areas of safety and health, including traffic, workplace, home, and community. While this research forum invites submissions using rigorous methodologies in all related areas, it focuses on basic and applied research in unintentional injury and illness prevention. Affiliated with the National Safety Council, it seeks to engage the global scientific community including academic researchers, engineers, government agencies, policy makers, corporate decision makers, safety professionals and practitioners, psychologists, social scientists, and public health professionals.
SSCI外文期刊 中科分区:4区 期发文量:3 国人占比:50.00% 影响因子:0.0000
The Journal of Risk Model Validation《风险模型验证杂志》(季刊). As monetary institutions rely greatly on economic and financial models for a wide array of applications, model validation has become progressively inventive within the field of risk. The Journal of Risk Model Validation focuses on the implementation and validation of risk models, and aims to provide a greater understanding of key issues including the empirical evaluation of existing models, pitfalls in model validation and the development of new methods. We also publish papers on back-testing. Our main field of application is in credit risk modelling but we are happy to consider any issues of risk model validation for any financial asset class.
SSCI外文期刊 中科分区:4区 期发文量:4 国人占比:54.55% 影响因子:0.0000
Journal of Multinational Financial Management《跨国财务管理杂志》(季刊). The purpose of the Journal of Multinational Financial Management is to publish rigorous, original articles dealing with the management of the multinational enterprise. Theoretical, conceptual, and empirical papers providing meaningful insights into the subject areas will be considered.
29 Journal of Money, Credit and Banking(或:JOURNAL OF MONEY CREDIT AND BANKING)《货币、信贷与银行杂志》(Email投稿,官网投稿)
SSCI外文期刊 中科分区:4区 期发文量:10 国人占比:12.90% 影响因子:0.0000
Journal of Money, Credit and Banking《货币、信贷与银行杂志》(一年8期). Founded in 1969, the Journal of Money, Credit and Banking (JMCB) is a leading professional journal read and referred to by scholars, researchers, and policymakers in the areas of money and banking, credit markets, regulation of financial institutions, international payments, portfolio management, and monetary and fiscal policy. The JMCB represents a wide spectrum of viewpoints and specializations in its fields through its advisory board, associate editors, and referees from academic, financial, and governmental institutions around the world.
SSCI外文期刊 中科分区:1区 期发文量:8 国人占比:4.17% 影响因子:0.0000
Journal of Monetary Economics《货币经济学杂志》(一年8期). The Journal of Monetary Economics publishes important research contributions to a wide range of modern macroeconomic topics including work along empirical, methodological and theoretical lines. In recent years, these topics have been: asset pricing; banking, credit and financial markets; behavioral macroeconomics; business cycle analysis; consumption, labor supply, and saving; dynamic equilibria (theory and computational methods); economic growth and development; expectation formation, information and aggregate economic activity; fiscal shocks and fiscal policies; expectation formation; forecasting, macroeconometrics, and time series analysis; information and aggregate economic activity; international trade, exchange rates, and open economy macroeconomics...