Faktor vpliva za serijsko publikacijo Risk Governance and Control: Financial Markets and Institutions za leto 2012

Leto 2012
Naslov serijske publikacije Risk Governance and Control: Financial Markets and Institutions
ISSN 2077-429X
Faktor vpliva 0.440
Država Ukraine

Uvrstitve Social Science Edition (SSE)

1408 2002 2003
Strategy and Management Economics and Econometrics Finance
Uvrstitev 213/318 389/514 148/202
Četrtina 3 4 3
IFx 0.960 1.090 0.980
IFmax 1. četrtine 12.775 12.775 5.214
IFmin 1. četrtine 1.301 1.443 1.242
IFmax 2. četrtine 1.286 1.436 1.221
IFmin 2. četrtine 0.667 0.814 0.761
IFmax 3. četrtine 0.657 0.811 0.758
IFmin 3. četrtine 0.359 0.454 0.408
IFmax 4. četrtine 0.358 0.452 0.395
IFmin 4. četrtine 0.006 0.003 0.009
ID=192219 LN 192219 004 V1 20.03.2018 SNIP::IZUM Copied 0
001 2192219
100 a2012cRisk Governance and Control: Financial Markets and InstitutionseUkrainej0.440
110 f2077-429X
200 e2077-429X
210 a2077-4303
400 c1408dStrategy and Managementu213/318x0.960y0.359z0.65703112.77521.30131.28640.66750.65760.35970.35880.006
400 c2002dEconomics and Econometricsu389/514x1.090y0.003z0.45204112.77521.44331.43640.81450.81160.45470.45280.003
400 c2003dFinanceu148/202x0.980y0.408z0.7580315.21421.24231.22140.76150.75860.40870.39580.009