《Annual Review Of Financial Economics》雜志的最新年發文量為31篇。
這表明該刊在每年都會精選并發表一定數量的高質量文章,以保持其在商業:財政與金融領域的學術影響力。
該刊聚焦于經濟學-商業:財政與金融領域的前沿研究,致力于推動該領域新技術和新知識的傳播與應用。同時它積極鼓勵研究人員詳細發表其高質量的實驗研究和理論成果。
該刊的平均審稿周期約為 。
Annual Review Of Financial Economics 雜志發文統計
文章名稱引用次數
- Common-Ownership Concentration and Corporate Conduct13
- Measuring Investor Sentiment11
- Risks in China's Financial System7
- Deglobalization: The Rise of Disembedded Unilateralism6
- Variance Risk Premia, Asset Predictability Puzzles, and Macroeconomic Uncertainty6
- Digital Disruption in Banking5
- Shadow Banking in China5
- Capital Structure and a Firm's Workforce5
- Liquidity, Leverage, and Regulation 10 Years After the Global Financial Crisis4
- Intermediary Asset Pricing and the Financial Crisis4
國家/地區發文量
- USA41
- England6
- CHINA MAINLAND5
- Spain4
- Switzerland3
- Belgium2
- Canada2
- GERMANY (FED REP GER)2
- Australia1
- Denmark1