Faktor vpliva za serijsko publikacijo Risk Governance and Control: Financial Markets and Institutions za leto 2015

Leto 2015
Naslov serijske publikacije Risk Governance and Control: Financial Markets and Institutions
ISSN 2077-429X/2077-4303
Faktor vpliva 0.115

Uvrstitve Social Science Edition (SSE)

2002 2003 1408
Economics and Econometrics Finance Strategy and Management
Uvrstitev 580/603 246/253 369/379
Četrtina 4 4 4
IFx 1.086 0.979 0.920
IFmax 1. četrtine 24.992 5.685 5.232
IFmin 1. četrtine 1.358 1.268 1.177
IFmax 2. četrtine 1.354 1.251 1.176
IFmin 2. četrtine 0.838 0.750 0.702
IFmax 3. četrtine 0.833 0.747 0.701
IFmin 3. četrtine 0.495 0.452 0.384
IFmax 4. četrtine 0.494 0.443 0.383
IFmin 4. četrtine 0.008 0.039 0.003
ID=276446 Kreiran 05.10.2023 SNIP::IZUM
100 a2015cRisk Governance and Control: Financial Markets and Institutionsh8i81j0.115
120 f2077-429X
200 e2077-429X
210 a2077-4303
400 c2002dEconomics and Econometricsu580/603x1.086y0.008z0.49404124.99221.35831.35440.83850.83360.49570.49480.008
400 c2003dFinanceu246/253x0.979y0.039z0.4430415.68521.26831.25140.75050.74760.45270.44380.039
400 c1408dStrategy and Managementu369/379x0.920y0.003z0.3830415.23221.17731.17640.70250.70160.38470.38380.003