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The Spanish Review of Financial Economics
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Inicio The Spanish Review of Financial Economics
ISSN: 2173-1268

Spanish Review of Financial Economics aims to publish theoretical and empirical papers across all the major fields of financial research. Topical areas of interest include, but are not limited to: accounting, asset management, asset pricing, banking and financial institutions, corporate finance, corporate governance, derivatives, financial econometrics, international finance, market microstructure, and risk management. The Journal's purpose is to improve communications between, and within, the academic research community and policymakers and operational decision makers at firms or financial institutions.

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Citescore

CiteScore measures average citations received per document published.

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Citescore 2017
0.71
SJR

SRJ is a prestige metric based on the idea that not all citations are the same. SJR uses a similar algorithm as the Google page rank; it provides a quantitative and qualitative measure of the journal's impact.

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SJR 2017
0.235
SNIP

SNIP measures contextual citation impact by wighting citations based on the total number of citations in a subject field.

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SNIP 2017
1.085
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Discontinued publication
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Issue
Vol. 15. Issue 2.
Pages 41-90 (July - December 2017)
Articles
Hybrid multiple structural break model for stock price trend prediction
Sheelapriya Gopal, Murugesan Ramasamy
The Spanish Review of Financial Economics. 2017;15:41-51
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Determinants of sub-central European government debt
Nicolas Jannone Bellot, Ma Luisa Martí Selva, Leandro García Menéndez
The Spanish Review of Financial Economics. 2017;15:52-62
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Lead-lag patterns in the Spanish and other European equity markets
Mª Isabel Cambón, Maria Andreea Vaduva
The Spanish Review of Financial Economics. 2017;15:63-77
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Market discipline in the Latin American banking system: Testing depositor discipline, borrower discipline, and the internal capital market hypothesis
Edgar Demetrio Tovar-García
The Spanish Review of Financial Economics. 2017;15:78-90
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