HomeSearchFINANCIAL ANALYSTS JOURNAL

FINANCIAL ANALYSTS JOURNAL

ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD · GB

ISSN0015-198XeISSN1938-3312
WOS SSCI
25
/ 100
High Risk
Score Breakdown
WoS SCIE/SSCI+25
Total25
Journal Impact Factor
This journal is indexed in Web of Science (JCR) and has an official Journal Impact Factor. View the current value on the journal’s page ↗
SNIP
2.041

Aims & Scope✦ Compiled from public sources

The Financial Analysts Journal publishes research to advance the knowledge and understanding of investment management. It serves as a platform for disseminating research that bridges the gap between theoretical finance and practical investment strategies, focusing on financial markets, investment processes, and asset management. The journal publishes articles related to Business, Management and Accounting; Economics, Econometrics and Finance.

AI-compiled from public web sources · verify on publisher page →

General Information

Country / RegionGB
Primary LanguageEnglish
1st Year Published
StatusActive
Total Publications
Publisher OrgTaylor & Francis
Visit Journal Website

Submission Info

Peer Review
Review Time
Acceptance Rate
OA License
OA Rate

Ethics & Quality

COPE Member✗ No
OASPA Member✗ No
Not on Predatory Lists✓ Yes

Think.Check.Submit Compliance

6/12 · 50%
Do you know the journal / publisher?
ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD
Does the journal have a website?
✓ Linked
Is the ISSN verified?
0015-198X / 1938-3312
Indexed in a trusted database?
Yes
Peer review process documented?
N/A
Follows ethical publishing standards (COPE)?
N/A
APC fees clearly disclosed?
N/A
Not on predatory/blacklists?
✓ Clean
Long-term digital preservation?
N/A
Plagiarism detection in place?
N/A
Listed in DOAJ (verified OA)?
N/A
Primary language documented?
English

Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.

Subject Classification

Web of Science Categories

Business, Finance

Research Topics (OpenAlex)

Financial Markets and Investment StrategiesFinancial Reporting and Valuation ResearchCorporate Finance and GovernanceInsurance and Financial Risk ManagementAuditing, Earnings Management, GovernanceHousing Market and EconomicsFinancial Literacy, Pension, Retirement AnalysisMonetary Policy and Economic ImpactBanking stability, regulation, efficiencyMarket Dynamics and Volatility
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Data updated: 2026-05-26 · Sources: SJR, DOAJ, OpenAlex, WoS, Crossref