Homeβ€ΊSearchβ€ΊRisk Governance and Control: Financial Markets and Institutions

Risk Governance and Control: Financial Markets and Institutions

Virtus Interpress Β· Ukraine Β· Est. 2011

ISSN2077-4303
SJR Q4βœ“ Scopus / SJR
58
/ 100
Established
PubScope credibility score from verifiable indexing & ethics signals
Score Breakdown
β—† Norwegian Register Level 152
βœ“ Corroboration (1 more)+6
Total58
Level data: Norwegian Register (HK-dir), NLOD 2.0. Β· Third-party records Β· how this is calculated Β· Report an error β†’
⚑ Speed vs Prestige
How does this journal balance review speed with impact level?
Publication speed: not measurable
publisher doesn’t disclose per-article submission dates β€” we never estimate
Q4
SJR Rank
Bottom 25%
Journal Impact Factor
Not on record at PubScope. The Journal Impact Factor is published by Clarivate for Web of Science (JCR)–indexed journals. If this journal has one, it appears on the journal’s page β†—
SJR Scorei
0.181
H-Indexi
21
CiteScore
ViewΒ β†—
Scopus metric Β· on the journal’s page
Total Worksi
703
Total Citationsi
2,916
2yr Mean Citednessi
1.69
Open Impact Factor alternative

Aims & Scope

Subject areas: Economics and Econometrics; Finance; Strategy and Management.

General Information

Country / RegionUkraine
Primary Languageβ€”
1st Year Published2011
Annual Volume~ 55 articles / year
StatusActive (last: 2026)
Total Publications703
Publisher OrgPublishing house "Virtus Interpress"
OA Since2019
Visit Journal Website

Submission Info

Peer Reviewβ€”
Review Timeβ€”
Acceptance Rateβ€”
OA Licenseβ€”
OA Rateβ€”

Ethics & Quality

COPE Memberβœ— No
OASPA Memberβœ— No
Not on Predatory Listsβœ“ Yes

Think.Check.Submit Compliance

5/12 Β· 42%
βœ…
Do you know the journal / publisher?
Virtus Interpress
βœ…
Does the journal have a website?
βœ“ Linked
βœ…
Is the ISSN verified?
2077-4303
βœ…
Indexed in a trusted database?
Scopus
❌
Peer review process documented?
N/A
❌
Follows ethical publishing standards (COPE)?
N/A
❌
APC fees clearly disclosed?
N/A
βœ…
Not on predatory/blacklists?
βœ“ Clean
❌
Long-term digital preservation?
N/A
❌
Plagiarism detection in place?
N/A
❌
Listed in DOAJ (verified OA)?
N/A
❌
Primary language documented?
N/A

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

Publication & Citation Trend

Articles published
Citations received
31
212
2019
29
164
2020
27
81
2021
26
140
2022
28
82
2023
54
193
2024
84
119
2025
33
9
2026

Source: OpenAlex Β· Each year’s green bar = citations earned by that year’s papers, counted to date β€” so recent years look lower simply because their papers haven’t had time to be cited yet.

SJR Quartile by Discipline

Scimago ranks this journal separately in each subject category β€” its quartile can differ by discipline.

Economics and EconometricsQ4
FinanceQ4
Strategy and ManagementQ4

Subject Classification

Scopus Categories

FinanceStrategy and ManagementEconomics and Econometrics

Research Topics (OpenAlex)

Corporate Finance and GovernanceBanking stability, regulation, efficiencyAuditing, Earnings Management, GovernanceInsurance and Financial Risk ManagementRisk Management in Financial FirmsIslamic Finance and Banking StudiesFinancial Markets and Investment StrategiesFinancial Reporting and Valuation ResearchCredit Risk and Financial RegulationsFinTech, Crowdfunding, Digital Finance

Frequently asked questions about Risk Governance and Control: Financial Markets and Institutions

Is Risk Governance and Control: Financial Markets and Institutions a predatory journal?

PubScope has no integrity flags on record for Risk Governance and Control: Financial Markets and Institutions: it is indexed in Scopus, and is not on DOAJ's withdrawn list. Its PubScope Trust Score is 58/100. Indexing is a transparency signal, not a guarantee β€” always confirm fit and policies before submitting.

What is the impact factor of Risk Governance and Control: Financial Markets and Institutions?

Risk Governance and Control: Financial Markets and Institutions is not in the Web of Science Core Collection, so it has no official Clarivate Journal Impact Factor. Its SCImago SJR score is 0.181.

Is Risk Governance and Control: Financial Markets and Institutions indexed in Scopus and Web of Science?

Risk Governance and Control: Financial Markets and Institutions is indexed in Scopus.

What is the aims and scope of Risk Governance and Control: Financial Markets and Institutions?

Subject areas: Economics and Econometrics; Finance; Strategy and Management.

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How to tell if a journal is predatoryWhat Q1–Q4 quartiles meanWeb of Science vs Scopus vs DOAJWhat is an APC?

Data updated: 2026-05-22 Β· Sources: SJR, DOAJ, OpenAlex, WoS, Crossref