Journal of Financial Economic Policy
ISSN:1757-6385

Journal of Financial Economic Policy

J FINAN ECON POLICY
学科领域:经济学
是否预警:不在预警名单内
是否OA:
录用周期:-
新锐分区:经济学3区
年发文量:58
影响因子:1.8
JCR分区:Q2

基本信息

-
1757-6385ESCI/Scopus收录
1.8
0
2026年3月发布
点击查看历史分区趋势    >
大类学科小类学科Top期刊综述期刊
经济学3区
ECONOMICS 经济学
3区
N/A
WOS期刊SCI分区  2024-2025最新升级版
按JIF指标学科分区收集子录JIF分区JIF排名百分位
学科:ECONOMICS
ESCI
Q2
234/620
按JCR指标学科分区收集子录JCR分区JCR排名百分位
学科:ECONOMICS
ESCI
Q2
296/620
暂无h-index数据
58
2%---ECONOMICS-
16.7%
时间预警情况
2026年03月发布的新锐学术版不在预警名单中
2025年03月发布的2025版不在预警名单中
2024年02月发布的2024版不在预警名单中
2023年01月发布的2023版不在预警名单中
2021年12月发布的2021版不在预警名单中
2020年12月发布的2020版不在预警名单中
100.00%4.42%-
CiteScore:2.70
SJR:0.332
SNIP:0.736
学科类别分区排名百分位
大类:Economics, Econometrics and Finance
小类:Finance
Q2
166 / 333
大类:Economics, Econometrics and Finance
小类:Economics and Econometrics
Q3
371 / 731

期刊高被引文献

The effect of symmetric and asymmetric information on volatility structure of crypto-currency markets
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-10-2018-0147
Financial inclusion and poverty reduction in India
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-01-2018-0012
The effect of corruption on FDI and its modes of entry
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-05-2018-0075
Globalization, role of institutions and economic performance in Indian economy: Empirical evidence
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-03-2018-0052
Corporate performance volatility and adverse macroeconomic conditions
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-11-2018-0158
The relationship between risk, capital and efficiency in Indian banking: Does ownership matter?
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-05-2018-0074
Explaining banking spread
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-02-2018-0031
Banking regulation - burden or blessing?
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-10-2018-0155
Policy uncertainty and dynamics of international trade
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-02-2018-0034
Money supply and inflation impact on economic growth
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-10-2018-0152
Federal aggregate personal income tax evasion/unreported income and its real interest rate yield effects on longer-term treasury debt issues
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-01-2019-0015
The macroeconomic drivers of stock market development: Evidence from Hong Kong
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-11-2018-0163
Evidence of leverage effects and volatility spillover among exchange rates of selected emerging and growth leading economies
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-03-2018-0042
Banking crises and business cycle: evidence for Italy(1861-2016)
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-03-2018-0055
The causality link between political risk and stock prices: A counterfactual study in an emerging market
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-07-2018-0106
Optimal bank interest margin under capital regulation: bank as a liquidity provider
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-12-2017-0124
Has European monetary union influenced the European Union bank lending flows to the EU countries from Central and Eastern Europe
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-05-2018-0080
Economic freedom variables endogenous to business cycles
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-01-2019-0030
Monetary policy and macroeconomic responses: non-recursive SVAR study of Egypt
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-07-2018-0103
Determining illicit financial outflows from sixty developing countries
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-12-2017-0120
Global financial economic crisis transmission on the transition economy: Case of the Kyrgyz Republic
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-09-2018-0133
Real interest rate, income and bank loans: panel evidence from Egypt
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-09-2018-0140
Subsidiary ownership decisions by bank holding companies: Similar or different than other institutional investors?
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-05-2019-0088
The integration of mortgage and capital markets: a tale of two administrations
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-09-2018-0130
The role of downward assets volatility in assessing the book-value distance to default
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-10-2018-0145
On the drivers of BNDES credit to Brazilian state governments
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-06-2018-0088
The impact of cryptocurrencies market development on banks’ deposits variability in the GCC region
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-02-2019-0036
Dynamics of income diversification and bank performance in India
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-05-2019-0084
The European deposit insurance game plan
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-10-2017-0093
Exchange rate volatility and exports from India: a commodity-level panel data analysis
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-11-2018-0157
Credit unions’ acquisitions of banks and thrifts
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-05-2018-0077
Investment, financial sector development and the degree of emerging markets integration
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-09-2018-0136
Basel III: where should we go from here?
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-01-2019-0001
Sovereign credit ratings and bond yield spreads in emerging markets: Revisiting Cantor–Packer evidence in resilience
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-04-2019-0068
Non-performing loans in European Union: country governance dimensions
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-01-2019-0027
A note on liquidity policies and financial networks
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-10-2018-0148
Capital flows and domestic investment: new evidence from OPEC countries
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-06-2018-0090
Granger-causes of the Ringgit-US dollar exchange rate after 2005
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-01-2019-0026
Unexpected inflation and cyclic impacts of policy tools on key economic variables – revealed by the assessment ratio
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-09-2018-0126
How bank regulations impact efficiency and performance
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-06-2019-0119
The nexus between financial development and trade performance: Empirical evidence from India in the presence of endogenous structural breaks
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-04-2019-0067
Market power, competition and earnings management: accrual-based activities
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-08-2018-0108
CEO compensation, portfolio holdings and strategic investments
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-01-2019-0013
The underbanked phenomena
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-09-2018-0125
Exchange rate and long-run price relationship in 19 selected European and LDCs
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-08-2018-0117
Testing fisher effect for the USA: application of nonlinear ARDL model
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/jfep-09-2018-0127
Corruption and inflation: evidence from US states
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-05-2018-0081
Flight-to-quality and contagion in the european sovereign debt crisis: the cases of Portugal and Greece
来源期刊:Journal of Financial Economic PolicyDOI:10.1108/JFEP-03-2018-0048

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