Journal of Financial Stability

Peer-reviewed journal
Academic journal
Journal of Financial Stability
DisciplineFinance
LanguageEnglish
Publication details
History2004-present
Publisher
Elsevier
FrequencyBimonthly
Impact factor
3.727 (2020)
Standard abbreviations
ISO 4 (alt) · Bluebook (alt1 · alt2)
NLM (alt) · MathSciNet (alt Paid subscription required)
ISO 4J. Financ. Stab.
Indexing
CODEN (alt) · JSTOR (alt) · LCCN (alt)
MIAR · NLM (alt) · Scopus
ISSN1572-3089
Links
  • Journal homepage

The Journal of Financial Stability is a bimonthly peer-reviewed academic journal on financial crises and stability. It is published by Elsevier and the editor-in-chief is Iftekhar Hasan (Fordham University).[1] It was established in 2004.

Abstracting and indexing

The journal is abstracted and indexed in:

According to the Journal Citation Reports, the journal has a 2020 impact factor of 3.727.[6]

References

  1. ^ "Aims & scope". Journal of Financial Stability | ScienceDirect.com. Elsevier. Retrieved 2022-02-24.
  2. ^ "Web of Science Master Journal List". Intellectual Property & Science. Clarivate . Retrieved 2022-03-16.
  3. ^ "Source details: Journal of Financial Stability". Scopus Preview. Elsevier. Retrieved 2022-02-24.
  4. ^ "Journals Indexed". EconLit. American Economic Association. Retrieved 2022-02-24.
  5. ^ "Abstracting and indexing - Journal of Financial Stability | ScienceDirect.com by Elsevier". www.sciencedirect.com. Retrieved 2022-02-24.
  6. ^ "Journal of Financial Stability". 2020 Journal Citation Reports. Web of Science (Social Sciences ed.). Clarivate. 2021.

External links

  • Official website


  • v
  • t
  • e