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SSCI外文期刊 中科分区:4区   期发文量:10   国人占比:0.00%   影响因子:0.0000
The Journal of Forensic Psychiatry & Psychology《法医精神病学和心理学杂志》(双月刊). The Journal of Forensic Psychiatry and Psychology is a multidisciplinary journal devoted to publishing papers relating to aspects of psychiatry and psychological knowledge (research, theory and practice) as applied to offenders and to legal issues arising within civil, criminal, correctional or legislative contexts.
SCIESSCI外文期刊 中科分区:4区   期发文量:12   国人占比:0.00%   影响因子:0.0000
Journal of Forensic Nursing《法医护理学杂志》(季刊). The Journal of Forensic Nursing (JFN) the official journal of the International Association of Forensic Nurses, is a groundbreaking publication that addresses health care issues that transcend health and legal systems by articulating nursing’s response to violence. The journal features empirical studies, review and theoretical articles, methodological and concept papers, and case reports that address the provision of care to victims and perpetrators of violence, trauma, and abuse. Topics include interpersonal violence (sexual assault, abuse, intimate partner violence); death investigation; legal and ethical issues; forensic mental health nursing; correctional nursing; and emergency and trauma nursing.
SCIESSCI外文期刊 中科分区:3区   期发文量:6   国人占比:0.00%   影响因子:0.0000
Journal of Fluency Disorders《口吃病杂志》(季刊). Now recognized as the only publication devoted specifically to fluency, the Journal of Fluency Disorders provides comprehensive coverage of clinical, experimental, and theoretical aspects of stuttering, including the latest remediation techniques. As the official journal of the International Fluency Association, the journal features full-length research and clinical reports; methodological, theoretical and philosophical articles; reviews; short communications and much more – all readily accessible and tailored to the needs of the professional.
SSCI外文期刊 中科分区:2区   期发文量:21   国人占比:9.68%   影响因子:0.0000
Journal of Financial Stability《金融稳定杂志》(双月刊). The Journal of Financial Stability provides an international forum for rigorous theoretical and empirical macro and micro economic and financial analysis of the causes, management, resolution and preventions of financial crises, including banking, securities market, payments and currency crises. The primary focus is on applied research that would be useful in affecting public policy with respect to financial stability. Thus, the Journal seeks to promote interaction among researchers, policy-makers and practitioners to identify potential risks to financial stability and develop means for preventing, mitigating or managing these risks both within and across countries.
SSCI外文期刊 中科分区:4区   期发文量:4   国人占比:0.00%   影响因子:0.0000
Journal of Financial Services Research《金融服务研究杂志》(双月刊). The Journal of Financial Services Research publishes high quality empirical and theoretical research on the demand, supply, regulation, and pricing of financial services. Financial services are broadly defined to include banking, risk management, capital markets, mutual funds, insurance, venture capital, consumer and corporate finance, and the technologies used to produce, distribute, and regulate these services. Macro-financial policy issues, including comparative financial systems, the globalization of financial services, and the impact of these phenomena on economic growth and financial stability, are also within the JFSR’s scope of interest. The Journal seeks to promote research that enriches the profession’s understanding of financial services industries, to elevate industry and product efficiencies, as well as to inform the debate and promote the formulation of sound public policies.
SSCI外文期刊 中科分区:4区   期发文量:11   国人占比:3.12%   影响因子:0.0000
Journal of Financial Research《金融研究杂志》(季刊). The Journal of Financial Research is a quarterly academic journal devoted to publication of original scholarly research in investment and portfolio management, capital markets and institutions, and corporate finance, corporate governance, and capital investment. The JFR, as it is popularly known, has been in continuous publication since 1978 and is sponsored by the Southern Finance Association (SFA) and the Southwestern Finance Association (SWFA).
SSCI外文期刊 中科分区:3区   期发文量:8   国人占比:60.87%   影响因子:0.0000
Journal of Financial Markets《金融市场杂志》(一年5期). The Journal of Financial Markets publishes high quality original research on applied and theoretical issues related to securities trading and pricing. Area of coverage includes the analysis and design of trading mechanisms, optimal order placement strategies, the role of information in securities markets, financial intermediation as it relates to securities investments - for example, the structure of brokerage and mutual fund industries, and analyses of short and long run horizon price behaviour. The journal strives to maintain a balance between theoretical and empirical work, and aims to provide prompt and constructive reviews to paper submitters.
SSCI外文期刊 中科分区:2区   期发文量:8   国人占比:4.17%   影响因子:0.0000
Journal of Financial Intermediation《金融中介杂志》(季刊). The Journal of Financial Intermediation seeks to publish research in the broad areas of financial intermediation, investment banking, corporate finance, financial contracting, financial regulation and credit markets.
SSCI外文期刊 中科分区:1区   期发文量:9   国人占比:11.54%   影响因子:0.0000
Journal of Financial Economics《金融经济学杂志》(月刊). The Journal of Financial Economics (JFE) is a leading peer-reviewed academic journal covering theoretical and empirical topics in financial economics. It provides a specialized forum for the publication of research in the area of financial economics and the theory of the firm, placing primary emphasis on the highest quality analytical, empirical, and clinical contributions in the following major areas: capital markets, financial institutions, corporate finance, corporate governance, and the economics of organizations.
SSCI外文期刊 中科分区:3区   期发文量:13   国人占比:2.63%   影响因子:0.0000
Journal of Financial Econometrics《金融计量经济学杂志》(一年5期). The Journals scope encompasses the themes that animate the field today. Estimation, testing, learning, prediction and calibration in the framework of asset pricing or risk management represent the core focus. More specifically, the scope includes topics relating to volatility processes, continuous-time processes, dynamic conditional moments, extreme values, long memory, dynamic mixture models, endogenous sampling, transaction data, and microstructure of financial markets. Methodological issues associated with the econometrics of experimental and behavioral finance are also of interest.
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