Финансовый журнал
Financial Research Institute · Russian Federation · Est. 2018
Aims & Scope
The Journal publishes studies on the following topics: public finance (budget system, intergovernmental relations, development and implementation of fiscal, monetary and tax policies etc.), financial markets, insurance, banking, macroeconomic modelling, and international finance.
General Information
Submission Info
Ethics & Quality
Think.Check.Submit Compliance
Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.
Publication & Citation Trend
Source: OpenAlex · Each year’s green bar = citations earned by that year’s papers, counted to date — so recent years look lower simply because their papers haven’t had time to be cited yet.
Subject Classification
Research Topics (OpenAlex)
Frequently asked questions about Финансовый журнал
Is Финансовый журнал a predatory journal?
PubScope has no integrity flags on record for Финансовый журнал: it is indexed in DOAJ, and is not on DOAJ's withdrawn list. Its PubScope Trust Score is 52/100. Indexing is a transparency signal, not a guarantee — always confirm fit and policies before submitting.
What is the impact factor of Финансовый журнал?
Финансовый журнал is not in the Web of Science Core Collection, so it has no official Clarivate Journal Impact Factor. Its open 2-year mean citedness is 0.81.
Is Финансовый журнал indexed in Scopus and Web of Science?
Финансовый журнал is indexed in DOAJ.
What is the aims and scope of Финансовый журнал?
The Journal publishes studies on the following topics: public finance (budget system, intergovernmental relations, development and implementation of fiscal, monetary and tax policies etc.), financial markets, insurance, banking, macroeconomic modelling, and international finance.
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See all →Data updated: 2026-05-26 · Sources: SJR, DOAJ, OpenAlex, WoS, Crossref