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ACRN Journal of Finance and Risk Perspectives

Impact, Factor and Metrics, Impact Score, Ranking, h-index, SJR, Rating, Publisher, ISSN, and More

Last Updated on October 31, 2023

Impact Score

2022-2023

1.53

h-Index

2022-2023

 5

Rank

2022-2023

 17128

SJR

2022-2023

 0.243

Note: The impact score or impact index shown here is equivalent to the average number of times documents published in a journal/conference in the past two years have been cited in the current year (i.e., Cites / Doc. (2 years)). It is based on Scopus data and can be a little higher or different compared to the impact factor (IF) produced by Journal Citation Report. Please refer to the Web of Science data source to check the exact journal impact factor ™ (Thomson Reuters) metric.

Important Metrics and Factor

Title ACRN Journal of Finance and Risk Perspectives
Abbreviation ACRN J. Finance Risk Perspect.
Publication Type Journal
Subject Area, Categories, Scope Accounting (Q3); Business and International Management (Q3); Finance (Q3); Statistics, Probability and Uncertainty (Q4)
h-index 5
Overall Rank/Ranking 17128
SCImago Journal Rank (SJR) 0.243
Impact Score 1.53
Publisher ACRN Oxford Ltd.
Country United Kingdom
ISSN 23057394
Best Quartile Q3
Coverage History 2017-2022




About ACRN Journal of Finance and Risk Perspectives


ACRN Journal of Finance and Risk Perspectives is a journal covering the technologies/fields/categories related to Accounting (Q3); Business and International Management (Q3); Finance (Q3); Statistics, Probability and Uncertainty (Q4). It is published by ACRN Oxford Ltd.. The overall rank of ACRN Journal of Finance and Risk Perspectives is 17128. According to SCImago Journal Rank (SJR), this journal is ranked 0.243. SCImago Journal Rank is an indicator, which measures the scientific influence of journals. It considers the number of citations received by a journal and the importance of the journals from where these citations come. SJR acts as an alternative to the Journal Impact Factor (or an average number of citations received in last 2 years). This journal has an h-index of 5. The best quartile for this journal is Q3.

The ISSN of ACRN Journal of Finance and Risk Perspectives journal is 23057394. An International Standard Serial Number (ISSN) is a unique code of 8 digits. It is used for the recognition of journals, newspapers, periodicals, and magazines in all kind of forms, be it print-media or electronic. ACRN Journal of Finance and Risk Perspectives is cited by a total of 60 articles during the last 3 years (Preceding 2022).


ACRN Journal of Finance and Risk Perspectives Impact IF 2022-2023


The Impact IF 2022 of ACRN Journal of Finance and Risk Perspectives is 1.53, which is computed in 2023 as per its definition. ACRN Journal of Finance and Risk Perspectives IF is increased by a factor of 0.62 and approximate percentage change is 68.13% when compared to preceding year 2021, which shows a rising trend. The impact IF, also denoted as Journal impact score (JIS), of an academic journal is a measure of the yearly average number of citations to recent articles published in that journal. It is based on Scopus data.

Table Setting

ACRN Journal of Finance and Risk Perspectives Impact IF 2023 Prediction


Impact IF 2022 of ACRN Journal of Finance and Risk Perspectives is 1.53. If the same upward trend persists, Impact IF may rise in 2023 as well.


Impact IF Trend


Year wise Impact IF of ACRN Journal of Finance and Risk Perspectives. Based on Scopus data.


Year Impact IF
2023/2024 Coming Soon
2022 1.53
2021 0.91
2020 0.38
2019 0.19
2018 0.19
2017 0.00

ACRN Journal of Finance and Risk Perspectives h-index


  Table Setting

ACRN Journal of Finance and Risk Perspectives has an h-index of 5. It means 5 articles of this journal have more than 5 number of citations. The h-index is a way of measuring the productivity and citation impact of the publications. The h-index is defined as the maximum value of h such that the given journal/author has published h papers that have each been cited at least h number of times.




ACRN Journal of Finance and Risk Perspectives ISSN


The ISSN of ACRN Journal of Finance and Risk Perspectives is 23057394. ISSN stands for International Standard Serial Number.

An ISSN is a unique code of 8 digits. It is used for the recognition of journals, newspapers, periodicals, and magazines in all kind of forms, be it print-media or electronic.

Table Setting

ACRN Journal of Finance and Risk Perspectives Rank and SCImago Journal Rank (SJR)


The overall rank of ACRN Journal of Finance and Risk Perspectives is 17128. According to SCImago Journal Rank (SJR), this journal is ranked 0.243. SCImago Journal Rank is an indicator, which measures the scientific influence of journals. It considers the number of citations received by a journal and the importance of the journals from where these citations come.

SJR of ACRN Journal of Finance and Risk Perspectives by Year


Year SJR
2023/2024 Coming Soon
2022 0.243
2021 0.127
2020 0.122
2019 0.112
2018 0.101
2017

Ranking of ACRN Journal of Finance and Risk Perspectives by Year


Year Ranking
2023/2024 Coming Soon
2022 17128
2021 22748
2020 26698
2019 26000
2018 29611
2017 32312

ACRN Journal of Finance and Risk Perspectives Publisher


Table Setting

ACRN Journal of Finance and Risk Perspectives is published by ACRN Oxford Ltd.. It's publishing house is located in United Kingdom. Coverage history of this journal is as following: 2017-2022. The organization or individual who handles the printing and distribution of printed or digital publications is known as Publisher.


Call For Papers


Visit the official website of the journal/conference to check the further details about the call for papers.


Abbreviation


The IS0 4 standard abbreviation of ACRN Journal of Finance and Risk Perspectives is ACRN J. Finance Risk Perspect.. This abbreviation ('ACRN J. Finance Risk Perspect.') is well recommended and approved for the purpose of indexing, abstraction, referencing and citing goals. It meets all the essential criteria of ISO 4 standard.

ISO 4 (International Organization for Standardization 4) is an international standard that defines a uniform and consistent system for abbreviating serial publication titles and journals.


How to publish in ACRN Journal of Finance and Risk Perspectives


If your research field is/are related to Accounting (Q3); Business and International Management (Q3); Finance (Q3); Statistics, Probability and Uncertainty (Q4), then please visit the official website of this journal.


Acceptance Rate


The acceptance rate/percentage of any academic journal/conference depends upon many parameters. Some of the critical parameters are listed below.

  • The demand or interest of researchers/scientists in publishing in a specific Journal/Conference.
  • Peer review complexity and timeline.
  • The mix of unsolicited and invited submissions.
  • The time it takes from manuscript submission to final publication.
  • And Many More.

It is essential to understand that the acceptance rate/rejection rate of papers varies among journals. Some Journals considers all the manuscripts submissions as a basis of acceptance rate computation. On the other hand, few consider the only manuscripts sent for peer review or few even not bother about the accurate maintenance of total submissions. Hence, it can provide a rough estimation only.

The best way to find out the acceptance rate is to reach out to the associated editor or to check the official website of the Journal/Conference.



Frequently Asked Questions (FAQs)


What's the latest impact IF of the ACRN Journal of Finance and Risk Perspectives?

ACRN Journal of Finance and Risk Perspectives latest impact IF is 1.53. It's evaluated in the year 2022. The highest and the lowest impact IF or impact score of this journal are 1.53 (2022) and 0.00 (2017), respectively, in the last 6 years. Moreover, its average IS is 0.53 in the previous 6 years.


What's the SCImago Journal Rank (SJR) of the ACRN Journal of Finance and Risk Perspectives?

The ACRN Journal of Finance and Risk Perspectives has an SJR (SCImago Journal Rank) of 0.243, according to the latest data. It is computed in the year 2023. In the past 6 years, this journal has recorded a range of SJR, with the highest being 0.243 in 2022 and the lowest being in 2017. Furthermore, the average SJR of the ACRN Journal of Finance and Risk Perspectives over the previous 6-year period stands at 0.53.


What's the latest h-index of the ACRN Journal of Finance and Risk Perspectives?

The latest h-index of the ACRN Journal of Finance and Risk Perspectives is 5.


Who's the publisher of the ACRN Journal of Finance and Risk Perspectives?

The ACRN Journal of Finance and Risk Perspectives is published by the ACRN Oxford Ltd., with its country of publication being the United Kingdom.


What's the current ranking of the ACRN Journal of Finance and Risk Perspectives?

The ACRN Journal of Finance and Risk Perspectives is currently ranked 17128 out of 27955 Journals, Conferences, and Book Series in the latest ranking. Over the course of the last 6 years, this journal has experienced varying rankings, reaching its highest position of 17128 in 2022 and its lowest position of 32312 in 2017.


What's the abbreviation or short name for the ACRN Journal of Finance and Risk Perspectives?

The standard ISO4 abbreviation for the ACRN Journal of Finance and Risk Perspectives is ACRN J. Finance Risk Perspect..


Is the "ACRN Journal of Finance and Risk Perspectives" classified as a Journal, Conference and Proceedings, Trade Journal or Book Series?

ACRN Journal of Finance and Risk Perspectives is classified as a journal that the ACRN Oxford Ltd. publishes.


What's the scope or major areas of the ACRN Journal of Finance and Risk Perspectives?

The ACRN Journal of Finance and Risk Perspectives encompasses the following areas:

  • Accounting
  • Business and International Management
  • Finance
  • Statistics, Probability and Uncertainty

For a more comprehensive understanding of its scope, check the official website of this journal.


What's the ISSN of the ACRN Journal of Finance and Risk Perspectives?

The ACRN Journal of Finance and Risk Perspectives is assigned the following International Standard Serial Numbers (ISSN): 23057394.


What's the best quartile of the ACRN Journal of Finance and Risk Perspectives?

The best quartile for the ACRN Journal of Finance and Risk Perspectives is Q3 (2022).


What's the coverage history of the ACRN Journal of Finance and Risk Perspectives?

The ACRN Journal of Finance and Risk Perspectives coverage history can be summarized as follows: 2017-2022.


Credits and Sources


  • Scimago Journal & Country Rank (SJR), https://www.scimagojr.com/
  • Journal Impact Factor, https://clarivate.com/



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Year wise Impact Score (IS) of ACRN Journal of Finance and Risk Perspectives

Impact Score Table

Year Impact Score (IS)
2023/2024 Coming Soon
2022 1.53
2021 0.91
2020 0.38
2019 0.19
2018 0.19
2017 0.00



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