Global Finance Journal
译名:全球金融期刊
5-10
2026
影响因子区间
195天
平台估算
40%
2025
中国作者发文占比
£3490.00 GBP / $5090.00 USD / €3990.00 EUR.
收费
期刊简介:Global Finance Journal aims to publish rigorous theoretical, conceptual, and empirical articles in financial economics and the discipline of finance. The Journal is particularly interested in original articles that deal with environmental, social and governance (ESG) factors in financial decision making and their impact on valuation. Manuscripts dealing with sustainable finance and climate finance are also of particular interest. Articles with an international/global perspective are especially welcome. Although not exhaustive, papers providing insight into the following broad areas fall within the scope of Global Finance Journal: alternative assets, asset pricing, behavioral finance, capital structure, central banking, commodities, cost of capital, credit markets, payout policy, energy markets, ethics in financial markets, exchange rates, experimental finance, financial accounting , fintech, foreign exchange markets, governance, interest rates, mergers and acquisitions, market regulation, real estate finance, risk management and hedging. Global Finance Journal also aims to provide space for the publication of well-executed ideas that break from the tradition and provide answers or solutions that utilize a non-conventional approach or challenge group-think.
【译文】《全球金融杂志》旨在发表金融经济学和金融学科领域严谨的理论、概念和实证文章。 《华尔街日报》对涉及财务决策中的环境、社会和治理 (ESG) 因素及其对估值影响的原创文章特别感兴趣。涉及可持续金融和气候金融的手稿也特别令人感兴趣。特别欢迎具有国际/全球视角的文章。尽管并不详尽,但深入探讨以下广泛领域的论文属于《全球金融期刊》的范围:另类资产、资产定价、行为金融、资本结构、中央银行、商品、资本成本、信贷市场、支付政策、能源市场、金融市场道德、汇率、实验金融、财务会计、金融科技、外汇市场、治理、利率、并购、市场监管、房地产金融、风险管理和对冲。 《全球金融杂志》还旨在为打破传统的、执行良好的想法提供发表空间,并提供利用非传统方法或挑战群体思维的答案或解决方案。

| 指标 | 当前值 | 近三年趋势 |
|---|---|---|
| JCR分区 | Q1 | 暂无 |
| 影响因子区间 | 5-10 | 暂无 |