Faktor vpliva za serijsko publikacijo Risk Governance and Control: Financial Markets and Institutions za leto 2013

Leto 2013
Naslov serijske publikacije Risk Governance and Control: Financial Markets and Institutions
ISSN 2077-429X
Faktor vpliva 0.291
Država Ukraine

Uvrstitve Social Science Edition (SSE)

2003 1408 2002
Finance Strategy and Management Economics and Econometrics
Uvrstitev 192/220 290/347 482/555
Četrtina 4 4 4
IFx 1.035 0.909 1.111
IFmax 1. četrtine 6.406 5.564 10.137
IFmin 1. četrtine 1.350 1.134 1.474
IFmax 2. četrtine 1.325 1.103 1.465
IFmin 2. četrtine 0.750 0.641 0.857
IFmax 3. četrtine 0.744 0.638 0.851
IFmin 3. četrtine 0.497 0.382 0.466
IFmax 4. četrtine 0.486 0.373 0.465
IFmin 4. četrtine 0.018 0.007 0.016
ID=216717 LN 216717 004 V1 12.09.2019 SNIP::IZUM Copied 0
001 2216718
100 a2013cRisk Governance and Control: Financial Markets and InstitutionseUkrainej0.291
110 f2077-429X
200 e2077-429X
210 a2077-4303
400 c2003dFinanceu192/220x1.035y0.018z0.4860416.40621.35031.32540.75050.74460.49770.48680.018
400 c1408dStrategy and Managementu290/347x0.909y0.007z0.3730415.56421.13431.10340.64150.63860.38270.37380.007
400 c2002dEconomics and Econometricsu482/555x1.111y0.016z0.46504110.13721.47431.46540.85750.85160.46670.46580.016