Faktor vpliva za serijsko publikacijo Risk Governance and Control: Financial Markets and Institutions za leto 2017
Leto
|
2017
|
Naslov serijske publikacije
|
Risk Governance and Control: Financial Markets and Institutions
|
ISSN
|
2077-429X/2077-4303
|
Faktor vpliva
|
0.194
|
Uvrstitve Social Science Edition (SSE) |
2003
|
1408
|
2002
|
Finance
|
Strategy and Management
|
Economics and Econometrics
|
Uvrstitev
|
247/262
|
366/400
|
592/633
|
Četrtina
|
4
|
4
|
4
|
IFx
|
0.984
|
0.950
|
1.100
|
IFmax 1. četrtine
|
5.968
|
7.185
|
8.800
|
IFmin 1. četrtine
|
1.299
|
1.201
|
1.368
|
IFmax 2. četrtine
|
1.298
|
1.197
|
1.361
|
IFmin 2. četrtine
|
0.791
|
0.737
|
0.869
|
IFmax 3. četrtine
|
0.785
|
0.736
|
0.868
|
IFmin 3. četrtine
|
0.498
|
0.431
|
0.504
|
IFmax 4. četrtine
|
0.484
|
0.424
|
0.502
|
IFmin 4. četrtine
|
0.006
|
0.006
|
0.006
|
ID=322954 Kreiran 05.10.2023 SNIP::IZUM |
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100 | | | a2017cRisk Governance and Control: Financial Markets and Institutionsh19i0j0.194 |
120 | | | f2077-429X |
200 | | | e2077-429X |
210 | | | a2077-4303 |
400 | | | c2003dFinanceu247/262x0.984y0.006z0.4840415.96821.29931.29840.79150.78560.49870.48480.006 |
400 | | | c1408dStrategy and Managementu366/400x0.950y0.006z0.4240417.18521.20131.19740.73750.73660.43170.42480.006 |
400 | | | c2002dEconomics and Econometricsu592/633x1.100y0.006z0.5020418.80021.36831.36140.86950.86860.50470.50280.006 |