Researcher.Life Logo

Journal of Risk and Financial Management : Impact Factor & More

eISSN: 1911-8074pISSN: 1911-8066
JournalOpen Access

Key Metrics

Scite Index
0.91 5-Year SI
Recommended pre-submission checks
Powered by Paperpal by Editage

Topics Covered on Journal of Risk and Financial Management

Journal of Risk and Financial Management Journal Specifications

Overview
Publisher Multidisciplinary Digital Publishing Institute (MDPI)
Language English
Article Processing ChargesCHF 1400
Publication Time6
Editorial Review ProcessAnonymous peer review
General Details
LanguageEnglish
Website URLVisit website
Publication Details
PlagiarismVisit website
Publication Time 6
Waiver PolicyVisit website
Editorial Review Detail
Editorial TeamVisit website
Review ProcessAnonymous peer review
Review UrlVisit website
Information for authors
Author instructionsVisit website
Copyright DetailsVisit website
Deposit PolicySherpa/Romeo
License typeCC BY
OA statementVisit website
View less

Planning to publish in Journal of Risk and Financial Management ?

Upload your Manuscript to get

  • Degree of match
  • Common matching concepts
  • Additional journal recommendations
Free Report

Recently Published Papers in Journal of Risk and Financial Management

Information Overload in Financial Reporting and Behavioral Decision-Making: Institutional Investors’ Perspectives
  • 18 May 2026
  • Journal of Risk and Financial Management
The Effects of Accounts with High Audit Risk on Auditor–Client Disagreement: Evidence from Korea
  • 11 May 2026
  • Journal of Risk and Financial Management
Beyond Accuracy: Economic Performance of Machine Learning Models in Financial Fraud Detection
  • 3 May 2026
  • Journal of Risk and Financial Management
The Semantic Web of Retail: A Taxonomic Integration of Web 3.0, Decentralized E-Commerce, and Agentic Commerce
  • 3 May 2026
  • Journal of Risk and Financial Management
The Impact of State Ownership and Regulation on Internal Control Weaknesses: The Case of Algerian Banks
  • 2 May 2026
  • Journal of Risk and Financial Management
Distance to Default and Misspecification of Corporate Economic Value Added
  • 2 May 2026
  • Journal of Risk and Financial Management
Information Overload in Financial Reporting and Behavioral Decision-Making: Institutional Investors’ Perspectives
  • 18 May 2026
  • Journal of Risk and Financial Management
The Effects of Accounts with High Audit Risk on Auditor–Client Disagreement: Evidence from Korea
  • 11 May 2026
  • Journal of Risk and Financial Management
Beyond Accuracy: Economic Performance of Machine Learning Models in Financial Fraud Detection
  • 3 May 2026
  • Journal of Risk and Financial Management
The Semantic Web of Retail: A Taxonomic Integration of Web 3.0, Decentralized E-Commerce, and Agentic Commerce
  • 3 May 2026
  • Journal of Risk and Financial Management
The Impact of State Ownership and Regulation on Internal Control Weaknesses: The Case of Algerian Banks
  • 2 May 2026
  • Journal of Risk and Financial Management
Distance to Default and Misspecification of Corporate Economic Value Added
  • 2 May 2026
  • Journal of Risk and Financial Management

FAQs on Journal of Risk and Financial Management