The Journal of Risk and Financial Theory

GPTKB entity

Statements (57)
Predicate Object
gptkbp:instanceOf academic journal
gptkbp:abstract Scopus
Web of Science
EconLit
RePEc
gptkbp:aimsTo theoretical and empirical research
gptkbp:availableIn online format
gptkbp:collaboratesWith financial institutions
universities
research organizations
gptkbp:conference hosts workshops
sponsors conferences
organizes symposiums
gptkbp:covers quantitative finance
portfolio management
financial risk
market efficiency
behavioral finance
investment theory
gptkbp:documentType case studies
research articles
review articles
short communications
gptkbp:editor gptkb:Robert_J._Shiller
gptkbp:establishedIn 2014
gptkbp:focusesOn risk management
financial theory
gptkbp:frequency quarterly
https://www.w3.org/2000/01/rdf-schema#label The Journal of Risk and Financial Theory
gptkbp:impact 1.5
gptkbp:investmentFocus author guidelines
review process
submission guidelines
conflict of interest policy
publication frequency
revision process
international experts
open access options
publication ethics
double-blind peer review
open data policy
data sharing policy
plagiarism policy
licensing options
author contributions policy
copyright policy
open peer review options
located_in_Germany
gptkbp:isReviewedBy true
gptkbp:ISSN 2194-6358
gptkbp:language English
gptkbp:publishedBy Springer
gptkbp:submissionDeadline open for submissions
gptkbp:targetAudience academics
policymakers
practitioners
gptkbp:website https://www.springer.com/journal/13563