journal of risk and financial management

journal of risk and financial management journal of risk and financial management
scopus doaj
20
Indexed Articles
433
Journal Page Views
3,633
Total Article Clicks
2019–2022
Publication Range
Publications Per Year
All Indexed Articles (20)
# Article Year Clicks
4 Regulation of the Crypto-Economy: Managing Risks, Challenges, and Regulatory Uncertainty
Vol. 12 pp. 126-
2019 337
6 Developments in Risk Management in Islamic Finance: A Review
Vol. 12 pp. 37-
2019 335
7 Long Memory in the Volatility of Selected Cryptocurrencies: Bitcoin, Ethereum and Ripple
Vol. 13 pp. 107-
2020 277
5 Abnormal Returns or Mismeasured Risk? Network Effects and Risk Spillover in Stock Returns
Vol. 12 pp. 50-
2019 267
3 What Coins Lead in the Cryptocurrency Market: Using Copula and Neural Networks Models
Vol. 12 pp. 132-
2019 244
9 Long Memory in the Volatility of Selected Cryptocurrencies: Bitcoin, Ethereum and Ripple
Vol. 13 pp. 107-
2020 243
10 Corporate Social Responsibility, Trade Credit and Financial Crisis
Vol. 13 pp. 144-
2020 235
8 True versus Spurious Long Memory in Cryptocurrencies
Vol. 13 pp. 186-
2020 216
1 Simulation of the Grondona System of Conditional Currency Convertibility Based on Primary Commodities, Considered as a Means to Resist Currency Crises
Vol. 12 pp. 75-
2019 211
13 Capital Structure as a Mediating Factor in the Relationship between Uncertainty, CSR, Stakeholder Interest and Financial Performance
Vol. 13 pp. 117-
2020 206
2 Financial Structure, Misery Index, and Economic Growth: Time Series Empirics from Pakistan
Vol. 12 pp. 100-
2019 178
11 Capital Structure as a Mediating Factor in the Relationship between Uncertainty, CSR, Stakeholder Interest and Financial Performance
Vol. 13 pp. 117-
2020 161
14 Is Bitcoin Similar to Gold? An Integrated Overview of Empirical Findings
Vol. 13 pp. 88-
2020 158
12 Corporate Social Responsibility, Trade Credit and Financial Crisis
Vol. 13 pp. 144-
2020 157
16 Is Bitcoin Similar to Gold? An Integrated Overview of Empirical Findings
Vol. 13 pp. 88-
2020 137
15 Is Bitcoin a Relevant Predictor of Standard & Poor’s 500?
Vol. 12 pp. 93-
2019 109
18 Impacts of Endogenous Sunk-Cost Investment on the Islamic Banking Industry: A Historical Analysis
Vol. 13 pp. 108-
2020 82
17 Competition, Debt Maturity, and Adjustment Speed in China: A Dynamic Fractional Estimation Approach
Vol. 13 pp. 106-
2020 68
19 Xenocentrism and Formal Education: Evaluating Its Impact on the Behavior of Chilean Consumers
Vol. 15 pp. 0-0
2022 10
20 Xenocentrism and Consumer Buying Behavior: A Comparative Analysis of Malaysian vs. Nigerian Consumers
Vol. 15 pp. 0-0
2022 2
Journal Info
Full Namejournal of risk and financial management
Short Namejournal of risk and financial management
Abbreviationjournal of risk and financial management
Rank21.57 / 100
Indexed In
scopus doaj