Key Metrics
CiteScore 

5.8
Eigenfactor 

< 0.001
Impact Factor 

< 5
SJR 

Q1Finance

SNIP 

1.63
Recommended pre-submission checks
Powered by 

Topics Covered on Journal of Multinational Financial Management
Journal of Multinational Financial Management Journal Specifications
Indexed in the following public directories
Web of Science
Scopus
SJR
| Overview | |
| Publisher | ELSEVIER |
| Language | English |
| Frequency | Bi-monthly |
| General Details | |
| Language | English |
| Frequency | Bi-monthly |
| Publication Start Year | 1990 |
| Publisher URL | Visit website |
| Website URL | Visit website |
View less
Planning to publish in Journal of Multinational Financial Management ?
Upload your Manuscript to get
- Degree of match
- Common matching concepts
- Additional journal recommendations

Recently Published Papers in Journal of Multinational Financial Management
Non-profit minority institutional shareholder and corporate external guarantee
- 1 Dec 2025
- Journal of Multinational Financial Management
Reputational Risk and Corporate Carbon Emissions Reduction around The World: The Democratic Advantage
- 1 Nov 2025
- Journal of Multinational Financial Management
Stock and sovereign risks, and stock, bond and currency returns in crises in an emerging market: An integrated VARX model
- 1 Nov 2025
- Journal of Multinational Financial Management
Economic freedom and market resilience: Safeguarding liquidity in times of crisis
- 1 Sep 2025
- Journal of Multinational Financial Management
Central bank swap arrangements, exchange rate volatility, and China’s exports
- 1 Sep 2025
- Journal of Multinational Financial Management
Green bonds: Catalyst or constraint for corporate green investment efficiency?
- 1 Sep 2025
- Journal of Multinational Financial Management
Non-profit minority institutional shareholder and corporate external guarantee
- 1 Dec 2025
- Journal of Multinational Financial Management
Reputational Risk and Corporate Carbon Emissions Reduction around The World: The Democratic Advantage
- 1 Nov 2025
- Journal of Multinational Financial Management
Stock and sovereign risks, and stock, bond and currency returns in crises in an emerging market: An integrated VARX model
- 1 Nov 2025
- Journal of Multinational Financial Management
Economic freedom and market resilience: Safeguarding liquidity in times of crisis
- 1 Sep 2025
- Journal of Multinational Financial Management
Central bank swap arrangements, exchange rate volatility, and China’s exports
- 1 Sep 2025
- Journal of Multinational Financial Management
Green bonds: Catalyst or constraint for corporate green investment efficiency?
- 1 Sep 2025
- Journal of Multinational Financial Management