Journal of Financial Regulation and Compliance
ISSN:1358-1988

Journal of Financial Regulation and Compliance

金融监管与合规杂志
J FINANC REGUL COMPL
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:40
影响因子:1.8
JCR分区:Q2

基本信息

金融监管与合规杂志(Journal Of Financial Regulation And Compliance)是一本由Emerald出版的一本BUSINESS, FINANCE学术刊物,主要报道BUSINESS, FINANCE相关领域研究成果与实践。本刊已入选来源期刊,2021-2022年最新版WOS分区等级:Q2,2023年发布的影响因子为2,CiteScore指数2.6,SJR指数0.345。本刊非开放获取期刊。 《金融监管与合规杂志》是一本专注于金融监管和合规领域的学术期刊。该杂志旨在为金融监管、合规性、风险管理以及相关法律和政策问题的研究提供一个专业的学术交流平台。它致力于发表高质量的研究成果,包括原创研究论文、案例研究、评论和分析文章,以促进对金融监管和合规实践的深入理解。 该期刊由国际知名的出版机构出版,其文章经过严格的同行评审过程,确保了发表内容的学术质量和研究深度。杂志的投稿语言主要为英语,这使得它能够吸引来自世界各地的研究者,促进了国际间的学术交流。它是一本专注于金融监管和合规研究的学术期刊,它为全球的研究者提供了一个展示和交流研究成果的平台,尤其在理解金融监管和合规实践的复杂性方面具有重要的学术价值和实践意义。
1358-1988ESCI/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
BUSINESS, FINANCE 商业:财政与金融
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:BUSINESS, FINANCE
ESCI
Q2
121/242
按JCR指标学科分区收集子录JCR分区JCR排名百分位
学科:BUSINESS, FINANCE
ESCI
Q3
138/242
暂无h-index数据
40
3%---BUSINESS, FINANCE-
11.1%
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
95.00%12.62%-
CiteScore:3.60
SJR:0.403
SNIP:0.720
学科类别分区排名百分位
大类:Economics, Econometrics and Finance
小类:Finance
Q2
128 / 333
大类:Economics, Econometrics and Finance
小类:Strategy and Management
Q2
239 / 496

期刊高被引文献

Can BRICS and ASEAN-5 emerging economies benefit from bank diversification?
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Banks, climate risk and financial stability
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Capital regulation and ownership structure on bank risk
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Blockchain and insurance: a review for operations and regulation
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Recent trends in money laundering and terrorism financing
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Financial freedom, market power and bank margins in sub-Saharan Africa
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Quantifying the potential impact of a green supporting factor or brown penalty on European banks and lending
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MiFID II key concerns
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The impact of public scrutiny on executive compensation
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When benchmark rates change: the case of Islamic banks
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-11-2017-0104
Global financial regulation in the “New International Economic Order”: The unfulfilled promise of equitable economic governance
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-10-2017-0086
Does commission remuneration affect the investor’s outcome? Experience from Central Europe
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-10-2018-0141
A practical process mining approach for compliance management
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-12-2018-0163
Corporate governance in Ghana: An analysis of board accountability in Ghanaian listed banks
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-12-2017-0111
Market power and stability of financial institutions: evidence from the Italian banking sector
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-05-2019-0055
Learn to build an error management culture
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Asymmetric return response to expected risk: policy implications
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-01-2018-0004
Insurance regulations, risk and performance in Ghana
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-09-2018-0126
Supervision of lost pension accounts and unclaimed benefits
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0045
Carrots and sticks in bank governance: time for a bigger stick?
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-05-2018-0084
An agency theory approach towards bribery
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0041
A new approach to research and theory development for financial firms: building a “house with windows”
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-10-2017-0088
Promoting responsible sovereign lending and borrowing: the role of sovereign wealth funds
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-11-2018-0151
Examining the role of institutional framework in promoting financial literacy by microfinance deposit-taking institutions in developing economies: Evidence from rural Uganda
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-12-2018-0158
The German consumer bankruptcy law and moral hazard – the case of indebted immigrants
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-04-2018-0064
Regulating European financial markets between crisis and Brexit
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-04-2018-0057
Time-varying response of treasury yields to monetary policy shocks: Evidence from the Tunisian bond market
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-11-2018-0146
Modeling effects of banking regulations and supervisory practices on capital adequacy state transition in developing countries
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-08-2018-0113
The effect of the JOBS act on analyst coverage of emerging growth companies
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-10-2017-0082
Shareholder empowerment, steps forward and steps back: Comparative analysis of the US and UK regulations
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-03-2018-0054
Does the speed of adjustment in regulation and supervision affect financial stability in developing countries
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-08-2018-0111
An update on self-regulation in the Canadian securities industry (2009-2016): Funnel in, funnel out and funnel away
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-05-2018-0075
Ignoring personal moral compass: factors shaping bankers’ decisions
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-12-2017-0110
Comparison of advanced economies’ performance in bubbles mitigation
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-06-2018-0088
Reviewing Pillar 2 regulations: credit concentration risk
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-02-2018-0033
Price formation of FICC research following MiFID II unbundling rules
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-02-2019-0018
CCP resolution, loss allocation and shareholders’ rights
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-02-2018-0020
Where are Islamic finance indices pointing towards? Lessons from experimental ‘pockets’ of Islamic financial regulation on international stock markets
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-03-2019-0040
FDI in Africa: potential implications of Brexit on South Africa’s financial sector
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/jfrc-04-2018-0061
Impact of correspondent bank de-risking on money service businesses in Jamaica
来源期刊:Journal of Financial Regulation and ComplianceDOI:10.1108/JFRC-12-2018-0159

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