European Journal of Finance
译名:欧洲金融期刊
3-5
2026
影响因子区间
—
平台估算
26%
2025
中国作者发文占比
£3490.00 GBP / $5090.00 USD / €3990.00 EUR.
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期刊简介:The European Journal of Finance publishes a full range of research into theoretical and empirical topics in finance. The emphasis is on issues that reflect European interests and concerns. The journal aims to publish work that is motivated by significant issues in the theory or practice of finance. The journal promotes communication between finance academics and practitioners by providing a vehicle for the publication of research into European issues, stimulating research in finance within Europe, encouraging the international exchange of ideas, theories and the practical application of methodologies and playing a positive role in the development of the infrastructure for finance research, teaching and practice throughout Europe. Peer Review Policy: All research articles in this journal have undergone rigorous peer review, based on initial editor screening and anonymized refereeing by two anonymous referees.
【译文】《欧洲金融杂志》发表了有关金融理论和实证主题的全方位研究。重点是反映欧洲利益和关切的问题。该杂志旨在发表由金融理论或实践中的重大问题引发的作品。该杂志通过为欧洲问题研究的发表提供载体,促进欧洲金融研究,鼓励思想、理论和方法的实际应用的国际交流,并在整个欧洲金融研究、教学和实践基础设施的发展中发挥积极作用,从而促进金融学者和从业人员之间的交流。同行评审政策:本期刊的所有研究文章都经过严格的同行评审,基于最初的编辑筛选和两名匿名审稿人的匿名审稿。

| 指标 | 当前值 | 近三年趋势 |
|---|---|---|
| JCR分区 | Q1 | 暂无 |
| 影响因子区间 | 3-5 | 暂无 |