Journal of Multinational Financial Management
ISSN:1042-444X

Journal of Multinational Financial Management

J MULTINATL FINANC M
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2区
年发文量:19
影响因子:4
JCR分区:Q1

基本信息

-
1042-444XSCIE/SSCI/Scopus收录
4
4.9
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2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
SSCI
Q1
41/242
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
SSCI
Q1
36/242
暂无h-index数据
19
1%---BUSINESS, FINANCE-
5%
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%9.59%-
CiteScore:7.00
SJR:1.038
SNIP:1.311
学科类别分区排名百分位
大类:Economics, Econometrics and Finance
小类:Economics and Econometrics
Q1
114 / 731
大类:Economics, Econometrics and Finance
小类:Finance
Q1
53 / 333

期刊高被引文献

Remittances, Finance and Industrialisation in Africa
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.02.002
Institutional quality and financial development: The United States perspective
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.01.001
The impact of social and environmental sustainability on financial performance: A global analysis of the banking sector
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.01.002
Institutional stock ownership and firm innovation: Evidence from China
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.04.003
Economic policy uncertainty and corporate risk-taking: International evidence
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100605
Technology directors and firm innovation
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.04.001
Does firm life cycle impact corporate risk taking and performance
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.05.001
Political institutions and foreign banks’ risk-taking in emerging markets
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.07.001
Firm innovation in transition economies: The role of formal versus informal finance
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.04.004
The impact of microcredit on poverty reduction in eleven developing countries in south-east Asia
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.07.003
Diversification role of currency momentum for carry trade: Evidence from financial crises
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.02.004
Price clustering and economic freedom: The case of cross-listed securities
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.04.002
Foreign investor trading behavior has evolved
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.04.005
The diminishing hedging role of crude oil: Evidence from time varying financialization
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100593
Directional spillover effects between ASEAN and world stock markets
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100592
The response of different investor types to macroeconomic news
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.02.005
Corporate governance, earnings quality and idiosyncratic crash risk during the 2007–2008 financial crisis
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.07.002
Exchange rate exposure of Latin American firms: Empirical evidence
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.03.001
Should central banks use the currency futures market to manage spot volatility? Evidence from India
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100596
The value relevance of nonfinancial disclosure: Evidence from foreign equity investment
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100595
Time-varying causal relationship between stock market and unemployment in the United Kingdom: Historical evidence from 1855 to 2017
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.02.003
Why do multinational firms hold so much cash? Further evidence on the precautionary motive
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.03.002
Global liquidity, market sentiment, and financial stability indices
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100606
The impact of exchange rate movements on mergers and acquisitions FDI
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100594
The impact of financial and economic factors on Islamic mutual fund performance: Evidence from multiple fund categories
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100607
Foreign investors’ trading behavior and market conditions: Evidence from Taiwan
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/j.mulfin.2019.100591
Does foreign currency-denominated debt affect dividend payout policy? Evidence from Korea
来源期刊:Journal of Multinational Financial ManagementDOI:10.1016/J.MULFIN.2019.02.001

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