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
|