Journal of Alternative Investments
Portfolio Management Research · United States · Est. 1998
ISSN1520-3255eISSN2168-8435
SJR Q3✓ WOS ESCI✓ Scopus / SJR
22
/ 100
High Risk
Score Breakdown
✓ WoS ESCI+10
✓ Scopus Q3+12
Total22
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 ↗
SJR Score
0.453
H-Index
48
CiteScore
View ↗
Scopus metric · on the journal’s page
SNIP
0.554
Total Works
1,109
Total Citations
11,397
2yr Mean Citedness
0.72
Free JIF alternative
⚡ Speed vs Prestige
How does this journal balance review speed with impact level?
Q3
SJR Rank
Top 75% in field
General Information
Country / RegionUnited States
Primary LanguageEnglish
1st Year Published1998
Annual Volume~ 30 articles / year
StatusActive (last: 2026)
Total Publications1,109
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?
✅
Does the journal have a website?
✅
Is the ISSN verified?
✅
Indexed in a trusted database?
❌
Peer review process documented?
❌
Follows ethical publishing standards (COPE)?
❌
APC fees clearly disclosed?
✅
Not on predatory/blacklists?
❌
Long-term digital preservation?
❌
Plagiarism detection in place?
❌
Listed in DOAJ (verified OA)?
✅
Primary language documented?
Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.
Publication & Citation Trend
Articles published
Times cited
2019
2020
2021
2022
2023
2024
2025
2026
Source: OpenAlex · Note: citations accumulate over time so older years appear higher
SJR Quartile by Discipline
Scimago ranks this journal separately in each subject category — its quartile can differ by discipline.
Economics and EconometricsQ3
FinanceQ3
Subject Classification
Web of Science Categories
Business, Finance
Scopus Categories
FinanceEconomics and Econometrics
Research Topics (OpenAlex)
Financial Markets and Investment StrategiesMarket Dynamics and VolatilityPrivate Equity and Venture CapitalInsurance and Financial Risk ManagementCorporate Finance and GovernanceState Capitalism and Financial GovernanceFinancial Risk and Volatility ModelingMonetary Policy and Economic ImpactBanking stability, regulation, efficiencyFinancial Reporting and Valuation Research
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See all →Data updated: 2026-05-22 · Sources: SJR, DOAJ, OpenAlex, WoS, Crossref