The Journal of Risk Management in Financial Institutions focuses on the analysis and management of risks within financial institutions and markets. It covers topics such as credit risk, liquidity risk, operational risk, market risk, and emerging risks related to technology and digital assets. The journal also explores the impact of business models, regulatory frameworks, and technological innovations on risk management practices.
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.
FinanceQ3
Statistics, Probability and UncertaintyQ3
Statistics and ProbabilityQ4
Subject Classification
Scopus Categories
FinanceStatistics, Probability and UncertaintyStatistics and Probability
Research Topics (OpenAlex)
Insurance and Financial Risk ManagementRisk Management in Financial FirmsBanking stability, regulation, efficiencyCredit Risk and Financial RegulationsGlobal Financial Regulation and CrisesGlobal Financial Crisis and PoliciesState Capitalism and Financial GovernanceFinTech, Crowdfunding, Digital FinanceEconomic, financial, and policy analysisCorporate Finance and Governance